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HomeMy WebLinkAboutOctober 15, 2008 Executive Committee Meeting Agenda Wednesday, October 15, 2008 7:30 pm Council Chambers Chair: Councillor Littley (I) MATTERS FOR CONSIDERATION PAGES 1. Director, Operations & Emergency Services, Report OES 28-08 Information Technology (IT) Server Room -Ventilation and Air Conditioninq, Civic Complex 1-4 RECOMMENDATION 1. That Report OES 28-08 of the Director, Operations & Emergency Services, regarding the Ventilation and Air Conditioning (HVAC) requirements for the Information Technology (IT) Server Room in the Civic Complex be received; and 2. That staff be directed to proceed with a formal tender process for the provision of ventilation and air conditioning in the Information Technology Server Room. 2. Director, Operations & Emergency Services, Report OES 31-08 5-12 Municipal Bridge Maximum Gross Vehicle Weight Restrictions -By-law to Establish a Load Limit for Bridge #5001 on Whitevale Road -Amendment to By-law 6753/07 RECOMMENDATION 1. That Report OES 31-08 of the Director, Operations & Emergency Services regarding the establishment of safe load limits on municipal bridges be received; and 2. That the attached Draft By-Law limiting the gross vehicle weight of any vehicle or any class thereof, passing over certain bridges, under the jurisdiction of the Corporation of the City of Pickering be enacted. 3. Director, Operations & Emergency Services, Report OES 32-08 City's Traffic & Parking By-law No. 6604/05 -Housekeepinq and Updatinq Amendments 1 3-1 9 RECOMMENDA TION Executive Committee Meeting Agenda Wednesday, October 15, 2008 7:30 pm Council Chambers Chair: Councillor Littley 1. That Report OES 32-08 of the Director, Operations & Emergency Services regarding proposed amendments to the City's Traffic & Parking By-law No. 6604/05 be received; and 2. That the draft by-law attached to this report be enacted to amend By-law No. 6604/05. 4. Director, Operations & Emergency Services, Report OES 34-08 Supply & Delivery of One-Ton Sign Truck -Q-63-2008 20-24 RECOMMENDATION 1. That Report OES 34-08 of the Director, Operations & Emergency Services regarding the supply and delivery of One (1) One-Ton Sign Truck be received; 2. That Quotation No. Q-63-2008, as submitted by Donway Ford Sales for the supply and delivery of One (1) One-Ton Sign Truck, in the amount of $83,233.54 (PST and GST included) be accepted; 3. That the total gross purchase cost of $83,233.54 and net purchase cost of $79,550.64 be approved; 4. That Council authorize the Director, Corporate Services & Treasurer to finance the purchase with funds received from a Transportation Infrastructure Grant as approved in the 2008 Capital Budget; and 5. Further, that the appropriate officials of the City of Pickering be authorized to give effect thereto. 5. Director, Operations & Emergency Services, Report OES 35-08 Durham Reqion Grade 5 Action Pass Proqram 25-29 RECOMMENDATION Executive Committee Meeting Agenda Wednesday, October 15,2008 7:30 pm Council Chambers Chair: Councillor Littley 1. That Report OES 35-08 regarding the Durham Region Grade 5 Action Pass Program be received; 2. That Council approve the Durham Region Grade 5 Action Pass Program for Grade 5 students to have free access to City of Pickering public swim and public skate programs; and 3. That the appropriate officials at the City of Pickering be given authority to give effect thereto. 6. Director, Corporate Services & Treasurer, Report CS 40-08 30-56 Internal Controls Review - Clerks Division, Animal Services Section RECOMMENDATION That Report CS 40-08 of the Director, Corporate Services & Treasurer regarding the results of the Internal Controls Review - Clerks Division, Animal Services Section be received for information. 7. Director, Corporate Services & Treasurer, Report CS 44-08 Tender/Contract Approval -Councils' Summer Recess 57 -98 RECOMMENDATION 1. That Report CS 44-08 of the Director, Corporate Services & Treasurer regarding tendering and contract approvals during Councils' Summer Recess be received; and, 2. That Council pass a resolution ratifying the approval of the Tenders and Contracts by the Chief Administrative Officer contained in this Report during Council's summer recess being Tender No. T-7-2008 Surface Treatment, Tender No. T-8-2008 Pickering Lawn Bowling Greens Phase II, Tender No. T -9-2008 Path Extension to Bus Loop at Sunbird Trail Park and Tender T -11- 2008 Supply & Installation of Humidification System Pickering Civic Complex. 8. Director, Corporate Services & Treasurer, Report CS 46-08 Proposed Increase to Taxicab Fares 99-1 05 Executive Committee Meeting Agenda Wednesday, October 15,2008 7:30 pm Council Chambers Chair: Councillor Littley RECOMMENDATION 1. That Report CS 46-08 of the Director, Corporate Services & Treasurer be received; and, 2. That the draft by-law, included as Attachment #1 to Report CS 46-08, to amend By-law #6702/06 to provide for an increase to taxicab fares effective November 1,2008 be enacted. 9. Director, Corporate Services & Treasurer, Report CS 48-08 2009 Standinq Committee and Council Meetinq Schedule 106-108 RECOMMENDATION 1. That Report CS 48-08 of the Director, Corporate Services & Treasurer be received; 2. That the 2009 Standing Committee and Council Meeting Schedule included as Attachment 1 to this report be approved; and 3. That the City Clerk be given authority to give effect thereto. (II) OTHER BUSINESS (III) ADJOURNMENT REPORT TO EXECUTIVE COMMITTEE Report Number: OES 28-08 Date: October 14, 2008 '1 ~-_.__.~-~_.~----"-~_.._---,._----_._._-_.._-~----~~-.------+----- From: Everett Buntsma Director, Operations & Emergency Services Subject: Information Technology (IT) Server Room Ventilation and Air Conditioning, Civic Complex File: A-1440 Recommendation: 1. That Report OES 28-08 regarding the Ventilation and Air Conditioning (HVAC) requirements for the Information Technology (IT) Server Room in the Civic Complex be received; 2. That staff be directed to proceed with a formal tender process for the provision of ventilation and air conditioning in the Information Technology Server Room. Executive Summary: The IT Server Room on the second floor of the Civic Complex is experiencing serious climate control problems. Three factors were identified that necessitated the HVAC be upgraded within the computer room during 2007: the first being additional hardware being added during the past several years to accommodate network growth; the second to compensate for the warming of the Civic Complex's air conditioning system that the computer room partially depends upon; and the third to replace the roof-mounted unit that was installed approximately five years ago that is now insufficient to meet demand. The 2008 Capital Budget included a $20,000.00 allowance for the IT computer room air conditioning replacement; however, the total cost based on informal quotations received on the Consultant's design is estimated to be approximately $175,000.00, therefore, it was decided to re-submit this project in the 2009 Capital Budget and implement a temporary solution until then. However, during mid-July, a temporary unit was installed within the computer room to assist with rising temperatures, but during the night of September 4, 2008, the unit failed resulting in a complete shutdown of the computer room servers as a result of temperatures reaching 108 degrees Fahrenheit. The shutdown of the computer network resulted in the lost productivity of one-half day for most employees, and a full day for others, depending on the application system accessed. The ability of the City to provide the expected level of customer service to its residents also was impacted. As this failure could occur again at any time, staff are seeking authorization to proceed through the formal tendering process now. Report OES 28-08 October 14, 2008 Subject: IT Server Room 2 Ventilation and Air Conditioning Page 2 Financial Implications: The 2008 Capital Budget included a $20,000 allowance for IT Server Room air conditioning, but the total cost based on quotations received is estimated to be approximately $ 175,000.00. This is the realistic cost for a long-term solution. Funding for the expenditure, if approved by Council after the results of the Tender Call are known, will be provided from the 2008 Current Budget Contingency Account and/or Federal Gas Tax Funds and therefore, will not increase the total approved Budgets for 2008. Sustainability Implications: At present, the internal remedial measures being used to cool the Server Room are not energy or cost effective. If a properly designed upgrade is constructed, the climate control will once again fall within the City's Sustainability Guidelines. Adequate ventilation and ducting will reduce the energy requirement for cooling the area thus reducing the carbon footprint. In addition, the potential loss of network time is in itself not sustainable due to loss of productivity and customer service. Background: The need for upgraded ventilation and climate control in the IT Server Room, on the second floor of the Civic Complex was recognized in 2007 and budgeted for as a capital item in the 2008 Capital Budget for a total amount of $20,000.00. This budget estimate was originally based on an assumption that additional compressor units could simply be added to the roof. Engineering consultants (TSH) were commissioned to provide working sketches and specifications for the required upgrades in spring of 2008. During this process, it became evident that the required modifications would exceed the original budget estimate, as the ducting and ventilation was considered to be inadequate for a simple fix. Therefore, it was decided to defer the project until 2009, and during 2008, implement a temporary solution using a portion of the $20,000.00. As stated, the temporary solution failed causing a complete shutdown in the City's computer network. Informal quotations from a list of qualified contractors were requested in July 2008 and site meetings were arranged by staff with each of the contractors. CORP0227-07/01 revised Report OES 28-08 October 14, 2008 Subject: IT Server Room Ventilation and Air Conditioning Page 3 :3 Quotations were received from three qualified contractors and ranged from $140,000.00 to $175,000.00. These quotations were based on detailed working sketches and a site visit. Details of the actual bids are not included due to confidentiality issues. As the prices greatly exceeded budget, it was decided to defer this project to the 2009 Capital Budget. In consultation with the Manager of Information Technology, an interim solution involving portable air conditioners was agreed upon in July 2008. However, because of the ducting limitations only one air conditioner could be operating and it was the only solution available within the budget restraints. On September 4, 2008, the temporary system failed. While it is unknown how long the computer room was without air-conditioning, it is known that at 8: 1 0 am, the temperature within the computer room was 108 degrees Fahrenheit and metal components were hot to the touch. The following identifies both the known impact of this equipment failure, as well as the potential impact. Known 1. The City as a whole suffered a minimum of four and one-half hours of lost productivity, as the network was known to be inoperative from 7:00 am to 11 :30 am. 2. Most servers went into thermal mode and shut down to protect against the extreme heat. The newer servers did not shut down, but powered down the processing capacity to reduce the heat output and power requirements. 3. The server hosting the financial, budget, customer care and property systems failed to start at 11 :30 am, most likely as a result of heat damage. HP was called and according to the maintenance contract, the server was operational by 5:00 pm. Potential 1. It is quite possible the City will experience computer equipment failure(s) within the next three to five weeks. The result will be lost productivity. 2. It is possible that components of the telephone system could fail within the coming weeks due to the extreme heat experienced. If that were to occur, the City would be unable to respond to incoming telephone calls, or to place outgoing calls. A system identified as the Corporation's most important system would be unavailable for an unknown time period. CORP0227-07/01 revised Report OES 28-08 October 14, 2008 Subject: 14 IT Server Room Ventilation and Air Conditioning Page 4 3. It is possible that components of the email system could fail within the coming weeks due to the extreme heat experienced. If that were to occur, the City would be unable to send emails, and incoming emails could be lost. Staff have set up two portable air conditioning units to maintain an appropriate temperature in the Server Room. However, this solution is not effective in the long term. At present, hot air discharging from the Server Room is increasing the cooling load demand and creating a static air pressure problem in the entire Civic Complex. It is therefore recommended that staff be authorized to proceed with a formal tender process. Once completed, the results, together with financing will be presented to Council for approval in 2008. Attachments: Not applicable Prepared By: Approved/Endorsed By: /::- ) 1'/ /' / Ton(t~1 Division Head, Facilities Operations Everett unts Director, Operations & Emergency Services Prepared By: Approved/Endorsed By: /1 / j i' i' i ...---'" il 1._ ..' 1-1-- ;; . '-.....- '......- ~ <C:-f;~[?:=~ c_' Gillis A. Paterson Director, Corporate Services & Treasurer JOI},$torms Manager, Information Technology TP:mld Copy: Chief Administrative Officer Recommended for the consideration of Pickering City~ouncil /' // CORP0227 -07 /01 revised REPORT TO EXECUTIVE COMMITTEE Report Number: OES 31-08 Date: October 14, 2008 r- ~) From: Everett Buntsma Director, Operations & Emergency Services Subject: Municipal Bridge Maximum Gross Vehicle Weight Restrictions By-law to establish a load limit for Bridge #5001 on Whitevale Road Amendment to By-law 6753/07 File: A-1440 Recommendation: 1. That Report OES 31-08 of the Director, Operations & Emergency Services regarding the establishment of safe load limits on municipal bridges be received; and 2. That the attached Draft By-Law limiting the gross vehicle weight of any vehicle or any class thereof, passing over certain bridges, under the jurisdiction of the Corporation of the City of Pickering be enacted. Executive Summary: The Highway Traffic Act and Bridge Act require that every bridge and or structure be kept safe and in good repair through periodic inspections under the direction of a Professional Engineer and in accordance with the provisions of the Ontario Structure Inspection Manual, or equivalent. Further, The Highway Traffic Act establishes that municipalities "having jurisdiction over a bridge may by by-law limit the gross vehicle weight of any vehicle or any class thereof passing over the bridge". The City of Pickering retains Totten Sims Hubicki Associates to perform regular bridge IIlspections (every two (2) years). As a result of the inspections, the City currently has three (3) bridge structures that are subject to gross vehicle weight limits by by-law. As a result of flooding that impacted the Whitevale Road bridge on July 23, 2008, a subsequent review of the Whitevale Road bridge over West Duffins Creek has determined a need to reduce the maximum weight load on that structure (due to non- flood related structural deficiencies), and amend the municipal by-law. Subject to the above, staff hereby present a proposed by-law which identifies the new established maximum weight load limits on all bridges under the jurisdiction of the City and which repeals the previously established associated by-laws. Report OES 31-08 October 14, 2008 Subject: Municipal Bridge Maximum Gross Vehicle Weight Restrictions By-law to establish a load limit for Bridge #5001 on Whitevale Road Amendment to By-law 6753/07 . f I I 6 Page 2 Financial Implications: There are no financial implications associates with the works as proposed by this report. However, in order to remove the bridge load limits, future expenditures will be required to rectify structural deficiencies and to bring the bridges up to current code requirements. Sustainability Implications: The changes proposed by staff are relevant to the social lens of sustainability by addressing municipal compliance with legislative requirements, public safety and traffic operations and their impact on municipal infrastructure management and preservation. Background: In April of 2007, staff presented report OES 14-07 to Executive Committee. The report, as adopted by the Committee and approved by Council: · identified the maximum vehicle load limits established as a result of the inspections on the three (3) bridges currently under the jurisdiction of the City of Pickering to which load limits apply · presented for Council endorsement, the draft by-law necessary for bridge load designation · established the necessary schedules for signature by two Professional Engineers certifying the safe load limits and the duration for which the limits apply As a result of the recent flooding in the Whitevale area, a subsequent inspection of the municipal bridge # 5001 on Whitevale Road has prompted a need to reduce the maximum vehicular weight capacity of the structure to 15 tonnes and amend the municipal bridge load By-law 6753/07. A copy of a location map, the draft amending bylaw and revised Schedule "A" which identifies those structures to which the by-law applies are attached. If passed by Council, a completed applicable Schedule B will be signed and sealed by two (2) professional engineers and will form part of the new by-law. Attachments: 1. TSH letter regarding Whitevale Bridge 2. Location Map 3. Draft By-law and Schedule CORP0227-07/01 revised Report OES 31-08 October 14, 2008 Subject: Municipal Bridge Maximum Gross Vehicle Weight Restrictions By-law to establish a load limit for Bridge #5001 on Whitevale Road Amendment to By-law 6753/07 7 I Page 3 PrePCired By: Approv~cf/Endor~ed By: /"/ I /;"" I "'~'''~..-. /"'0" (", X /'1/ \ j/' ,li , 'V' " c " ..~ ',- I /' Everett Bunt'smi Director, Operations & Emergency Services MP:ds Copy: Chief Administrative Officer City Clerk Manager, By-law Services Superintendent, Municipal Operations Recommended for the consideration of Pickering City Coun . COf\P0227-07101 revised 'ts I / () c: ~) G;~ engineers architects planners August 19,2008 Darrell Selsky, C.E.T. Supervisor, Engineering and Capital Works Citv oCPickerin(J . b Pickering Civic Complex Gne The Esplanade Pickering, Ontario L1Y6I<7 Dcar Mr. Selsky: Re: Whitevale Bridge City of Pickering As requested, we carried out a visual inspection of the above noted bridge on July 29,2008. The purpose of the inspection was to assess damage to the structure from a recent storm event. The existing bridge, which was constructed about 1929, is a two span (16.0 m::t each) continuous concrete bridge, of T-beam and slab construction with a concrete deck and asphalt wearing surCace. The bridge superstructure is supported on concrete abutments and centre pier constructed normal to the roadway al ignment. The bridge provides a roadway width of 6.1 m between concrete curbs and accommodates two lanes of vehicular trarfic. A \.6 m::t wide concrete sidewalk and a 0.2 m::t wide concrete curb are provided on the south and north sides of the bridge respectively. Concrete parapet walls with double rail systems are provided on the outside edge of the sidewalk and curb. The approach roads are paved with asphalt. The bridge is in general conformance to the condition as documented during our 2006 Bridge Appraisal Update Study with the following exceptions: I. The bridge was restricted to a single lane of traffic at the time of our inspection. } The embankments are severely eroded at the ends of the bridge. The erosion extends a significant distance into the roadway platform, particularly in the southeast corner. 3. The stream flow is scouring the streambed along the centre pier with lowering of the channel along both t~lces of the pier. Probing of the pier foundation indicated that undermining is not present. 4. During our site inspection, it was noted that the west abutment is spalled and delaminated below the north exterior girder with significant loss of bearing support. On the basis of our visual inspection of the structure, it is recommended that the following works be completed to permit re-opening of the bridge to two lanes of vehicular traffic: I OE~-~ IU2S 2- Z_ Darrell Selsky, C.E.T., City ofPiekcring August I'). 200X 2 9 I. Restore roadway embankments, provide drainage channels at the corners of the structure and repave the damaged section of roadway. ') Install a support post below the north girder at the west abutment. Following the completion of the foregoing repairs, it is recommended that the bridge be posted with a load limit of 15 tonnes until such time as long term works to the bridge are implemented. We would be pleased to elaborate on any aspect of the report or to assist further as may be required. Please contact the undersigned if you have any questions in the above regards. Yours very truly, /2~ DennisJ~axt7t, P. Eng. Manager, Transportation Structures DLB/dlb ('\J)OClIlllcnls anJ Scltingsldbaxlcr\My DOC1I111cl1tslTS11 ActtvclPrOlecls\Whilcvale BrldgclLelter - Clly 200S-0X-19Joc 10 ~ I _Qf:5> 3/-0 ~ I .-.:j ~. II .' " ~I ::1 O"'i JJ ' . : (~OO1) r ~.~ _ w,' t'.:Ji1; I ,~L~ ~' "01 'i sl ~~~'~4. '. i , i,l, ./' EIGHTH " ~(', 7004) 30i _ _ ~ ~ LEGEND: OPERATIONS & EMERGENCY SERVICES DEPARTMENT MUNICIPAL PROPERTY & ENGINEERING DIVISION SCAlf ..__uu_.__u..____ OAAWf,jo"Ti---~-n___....--~.,_._' N,T,S, AUG 28, 2008 ~ i l-'; \ :.: u o IX lD /1 !U1 'fi.<- -}~-_\" '~'ii.=rT1. ~':~!j~' ,,' ., :"1 ','~ GRDNir:' ' ..;lUVD I, rrr: " -'~I ~~,.- ..;..) :.,! WH:I1EvALE ::;, ".,-~i >~ ,c','," \27;";[J.-'li~~~T' , c 'I 'A ", ;ij ~:i . tt 5001 ) 'gJI; ...;/ 4( ,I' 1",\ n.-.. -,r e c 7004 ) Restricted Bridge location City of Pickering Bridge Number BRIDGE LOCATION MAP BRIDGE LOAD BY-LAW .3 Forn to' tJES 3>1-() ~ 2. THE CORPORATION OF THE CITY OF PICKERING 1 BY-LAW NO. /08 Being a By-law to amend By-law 6753/07. WHEREAS, By-law No. 6753/07 provides for the regulation of gross vehicle weight limits on municipal bridge structures; and WHEREAS the City wishes to amend By-law 6753/07. NOW THEREFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: 1. Schedule A to By-law No 6753/07 shall be repealed and substituted with that as attached. BY-LAW read a first, second and third time and finally passed this 2008. day of David Ryan, Mayor Debi A. Wilcox, City Clerk 3 +;-2...~.2 ~ 1-08 _~y-~~w No. Page 2 2-.. b , I! . () '-- SCHEDULE A BRIDGE LOAD LIMITS Column 1 Column 2 Column 3 BRIDGE NO. BRIDGE LOCATION MAXIMUM GROSS VEHICLE WEIGHT 7004 Sideline 34, OAkm south of Eighth Concession Road 11 tonnes 8001 Eighth Concession Road, 0.10km west of Sideline 34 15 tonnes 10002 Pickering/Uxbridge Townline, 0.10km east of $ideline 30 11 tonnes 5001 Whitevale Road, 330m east of Altona Road 15 tonnes Cit'j ,,~ ~ ~ . tp~~~!js~~~i~~ PICI(ERING REPORT TO EXECUTIVE COMMITTEE Report Number: OES 32-08 Date: October 14, 2008 3 From: Everett Buntsma Director, Operations & Emergency Services Subject: City's Traffic & Parking By-law No. 6604/05 Housekeeping and Updating Amendments File: A-1440 f<ecommendations: 1. That Report OES 32-08 of the Director, Operations & Emergency Services regarding proposed amendments to the City's Traffic & Parking By-law No. 6604/05 be received; and 2. That the draft by-law attached to this report be enacted to amend By-law No. 6604/05. 2xccutive Summary: On May 20, 2008, Council at the recommendation of staff, iJ1)sed By-law 6864/08 thereby amending the City's Traffic & Parking By-law No. 6604/05. Further to which, staff recommend the additional corrective amendments to: '" the General Stopping and Parking controls add Fairview Avenue to Schedule 4 - Permit Parking ., be able to action unplated vehicles on municipal roadways ., amend the Boulevard Parking controls on Liverpool Road as per comments generated from area businesses further clarify vehicle exemptions from the Traffic and Parking By-law Financial Implications: The general amendments to the Traffic By-law recommended in this report do not present any major financial implications. Sustainability Implications: The changes proposed by staff are relevant to the social lens of sustainability by addressing traffic operations and the governance of municipal roads via appropriate and accurate by-laws and record management practices. Report OES 32-08 October 14, 2008 Subject: City's Traffic & Parking By-law No. 6604/05 ,4 Housekeeping & Updating Amendments Page 2 Background: General By-law Corrections As part of an ongoing effort to ensure accurate traffic records, staff continue to verify municipal traffic controls. As a result of this work, staff have identified and hereby propose the following corrections to the Traffic By-law. General Stoppinq and Parkinq Requlations On May 20, 2008, Council of the City of Pickering passed by-law 6864/08 incorporating various housekeeping amendments to the municipal traffic and parking bylaw 6604/05. The changes included an amendment to numerous sections of the by-law, clarifying the requirement and use of parking control signs to identify prohibited parking areas. This change also mistakenly included Section 15, the general parking provisions, which do not require signs (such as parking within 1 m of a driveway or 3m of a hydrant). As the use of signs to identify standard parking regulations was and is not intended by staff, this report proposes to further amend the traffic and parking by-law by deleting the following reference from Section 15: "Where authorized signs which clearly indicate the regulation have been installed," Minor By-law Amendment - Permit Parkinq on Fairview Road In response to area resident concerns, staff recently initiated on street parking controls on Fairview Avenue. Although, the municipal Traffic and Parking By-law was amended to reflect staff recommendations within the original report, an additional amendment to include portions of Fairview Avenue within Schedule 4 - Permit Parking was mistakenly omitted and is hereby proposed. Minor By-law Amendment - Boulevard Parkinq on Liverpool Road The previous amendment to the Traffic and Parking By-law introduced the regulation of boulevard parking with specific controls on Liverpool Road adjacent to the Marshall Homes Millennium Square development. In order to aid area parking circulation, municipal maintenance, and to discourage parking abuse and evening loitering, boulevard parking was limited to a maximum of 3 hours between 5:00 am and 1 :00 am. As some area businesses have indicated that the 1 :00 am restriction may impact client use during normal business hours they have requested that area boulevard parking be permitted until 2:00 am. As this change is deemed to be minor and would still maintain the overnight parking prohibition, which was the intent of the by-law provision, staff Report OES 32-08 October 14, 2008 Subject: City's Traffic & Parking By-law No. 6604/05 Housekeeping & Updating Amendments Page 3 " '"' ..) support the request and hereby propose to amend Schedule 13 to reflect No Parking between 2:00 am and 5:00 am. Minor By-law Amendment - UnPlated or Abandoned Vehicles In order to improve the delivery of enforcement services with regards to "abandoned vehicles", staff propose to amend Section 15 of the municipal Traffic and Parking by- law to prohibit the parking of any vehicle on a highway unless that vehicle has a valid licence plate attached, excluding any class of vehicles which do not require a licence plate in accordance with the Highway Traffic Act. Minor By-law Amendment - By-law Exemptions I f1 order to improve the delivery of enforcement services with regards to the application of the municipal traffic and parking by-law, staff propose to amend Section 44 to provide additional exemptions for armoured vehicles, roadside service vehicles as well as ministry and government agency 1 organization vehicles while they are actively engaged in the performance of their duties. Attachments: 1. Draft Amending By-law Approved I Endorsed By: .. t'\' ,'/ :! II/(.~- ',' ..,.. ,.__.,.__._,,~ RH:mp/ks Attachments Report OES 32-08 October 14, 2008 Subject: City's Traffic & Parking By-law No. 6604/05 i 6 Housekeeping & Updating Amendments Page 4 Copy: Chief Administrative Officer Manager, By-law Services Superintendent, Municipal Operations Recommended for the consideration of Pickering Citlt Council u .7 '1' THE CORPORATION OF THE CITY OF PICKERING BY-LAW NO. /08 7 I Being a by-law to amend By-law No. 6604/05 WHEREAS By-law No. 6604/05 provides for the regulation of traffic and parking on highways, private property and municipal property within the City of Pickering; and WHEREAS the City wishes to amend By-law No. 6604/05. NO\N THEREFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: 1. By-law No. 6604/05 shall be amended as set out in this by-law. 2. Section 15 is amended by removing the words "Where authorized signs that clearly indicate the regulation have been installed". :3 The following clause is added to Section 15: (m) without a valid licence plate attached, unless the vehicle does not require a licence plate in accordance with the HT A; 4. Schedule 4 is amended as follows: SCHEDULE 4 PERMIT PARKING COLUMN 1 COLUMN 2 COLUMN 3 HIGHWAY SIDE LIMITS (FROM/TO) ADD Fairview Road West 30 metres south of Browning Avenue to 45 metres south Of Browning Avenue By-law No. d Page 2 5. Schedule 13 is amended as follows: SCHEDULE 13 PERMITTED BOULEVARD PARKING COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 HIGHWA Y PROPERTY SIDE LIMITS PERMITTED TIMES OR DAYS Delete Liverpool Road West 70 metres north of the south For a maximum of limit to 20 metres north thereof, 3 consecutive hours 135 metres north of the south from 5:00 am limit to 80 metres north thereof, to 1 :00 am 225 metres north of the south limit to 85 metres north thereof Liverpool Road East 55 metres north of the south For a maximum of limit to 35 metres north thereof, 3 consecutive hours 155 metres north of the south from 5:00 am limit to 60 metres north thereof, to 1 :00 am 250 metres north of the south limit to 30 metres north thereof ADD Liverpool Road West 70 metres north of the south From 5:00 am to limit to 20 metres north thereof, 2:00 am, and for and from 135 metres north of a maximum of 3 the south limit to 80 metres north consecutive hours thereof; and from 225 metres north of the south limit to 85 metres north thereof. By-law No. Page 3 '9 Liverpool Road East 55 metres north of the south limit to 35 metres north thereof, and from 155 metres north of the south limit to 60 metres north thereof; and from 250 metres north of the south limit to 30 metres north thereof. 6. The following cl.auses are added to Section 44: From 5:00 am to 2:00 am, and for a maximum of 3 consecutive hours (d) any armoured vehicle, while the operator IS actively engaged In the performance of their duties; and, (e) any service vehicle owned or operated by an accredited road side service agency or automobile club or a licensed towing agency provided that such vehicles are clearly identified by a crest or other markings and that the operator is actively engaged in the performance of their duties; and, (f) any vehicle owned or operated by a federal or provincial Ministry or government agency or organization provided that such vehicles are clearly identified by a crest or other markings and that the operator is actively engaged in the performance of their duties. 7. This by-law shall come into force on the day that it is passed. BY-LAW read a first, second and third time and finally passed this 2008. day of David Ryan, Mayor Debi A. Wilcox, City Clerk Citlf 01 ~If, '" ,i( . ;,.~":'."';'F'R~Wrc~~~~ l .'.\. {, "''''-''-I',',.w,~~1 ',',,- . """ I~rCI(ljRrNG REPORT TO EXECUTIVE COMMITTEE · II . \. ~ Report Number: OES 34-08 Date: October 14, 2008 From: Everett Buntsma Director, Operations & Emergency Services Subject: Supply & Delivery of One-Ton Sign Truck Q-63-2008 File: A-1440 : U?Gomrnendation: 1, That Report OES 34-08 of the Director, Operations & Emergency Services regarding the supply and delivery of One (1) One-Ton Sign Truck be received; 2 That Quotation No. Q-63-2008, as submitted by Donway Ford Sales for the supply and delivery of One (1) One-Ton Sign Truck, in the amount of $83,233.54 (PST and GST included) be accepted; 3 That the total gross purchase cost of $83,233.54 and net purchase cost of $79,550.64 be approved; 4. That Council authorize the Director, Corporate Services & Treasurer to finance the purchase with funds received from a Transportation Infrastructure Grant as approved in the 2008 Capitial Budget; and 5. Further, that the appropriate officials of the City of Pickering be authorized to give effect thereto. ccutive Summary: In the 2008 Capital Budget, the Council of the City of [Jickering approved the purchase of a One-Ton Sign Truck. The purchase of this purpose-built truck will allow Municipal Property & Engineering staff to maintain the City's street and traffic signs with a higher degree of safety and efficiency. I~eport OES 34-08 October 14, 2008 Subject: Supply & Delivery of One-Ton Sign Truck Page 2 Financial Implications: Approved Source of Funds 2008 Roads Capital Budqet Item Project Code Source of Available Required Funds Transportation $80,000.00 $79,550.64 Infrastructure Grant One-Ton Sign Truck 5320.0803.6157 I l__~___ Ouotation Amount Q-63-2008 Subtotal GST PST Total Gross Purchase Cost $73,658.00 3,682.90 5,892.64 $83,233.54 (3,682.90) $79,550.64 GST Rebate Total Net Purchase Cost l~______ r---..-----------..------MO---- Project cost (under) over Approved Funds ($449.36) Sustainability Implications: The engine powering this truck meets the latest L:I1\jironmental Protection Agency (EPA) standards for diesel engine emissions. This standard has significantly reduced the amount of harmful emissions created by the operation of the vehicle. Having a purpose-built vehicle will allow staff to work on the installation and maintenance of street signage with a higher degree of safety and efficiency. This purchase conforms to the environmental and social lenses of sLlstainability. Background: The purchase of a new One Ton Sign Truck was identified and approved by Council in the 2008 Capital Budget. Specifications were compiled by Fleet Operations after polling staff, site visits to neighbouring municipalities to evaluate e<isting equipment and review of emerging technology. Supply and Services invited, five (5) vendors to participate in the bidding process of which two (2) have responded. Upon careful examination and review of all quotations received by Supply and Services it has been determined that the low bid submitted by Formula Ford Sales does not meet the specification for "heated mirrors". As staff are required to exit the vehicle onto the CmIP0?27-D7/01 revised Report OES 34-08 October 14, 2008 Subject: Supply & Delivery of One-Ton Sign Truck Page 3 ) 'J "-- roadway to perform sign maintenance during inclement weather this is an important safety feature. The Municipal Property and Engineering Division therefore recommend the acceptance of the bid submitted by Donway Ford Sales, which meets the specifications set out in Q-63-2008, in the amount of $73,658.00 (PST and GST extra) and that the total net purchase cost of $79,550.64 be approved. Attachments: 1. Memo from Supply & Services Prepared By: /~~4A Supervisor, Fleet Operations App~9V"~~o.ated By: .' /./ / ,,1 //,/" "" ...... '~'f .." _____"' / / / I / _ f / Eve~Buntsme(' Director, Operations & Emergency Services - '~"."""..~""'~'~~'" .;...."............"......-. ..' ../..-- . .'. ~ <::::::::::-_ . "77~~ .~.C""-. . <-:Gilli~ Paterson ,,' Director Corporate Services & Treasurer \ \ { >{. f ~ ,0" Vera Felgemacher CPP., CPPO, CPPB, C.P.M., CMM III Manager, Supply & Services GS:cr Attachments: Copy: Chief Administrative Officer '-R'ecommended for the consideration of Pickering Cit oun // r CORP0227-07/01 revised Citq o~ I _.,,-J POR"1 4 '\~.~ ~JYl 0 .~- AUG 2 8 2008 CITY OF PICKERING MUNICIPAL PROPERTY & ENGINEERING MEMO 11. . ,) To: Richard Holborn Division Head, Municipal Property & Engineering August28,2008 From: Bob Kuzma Senior Purchasing Analyst Copy: Subject: Quotation No. Q-63-2008, Supply & Delivery of One - ton Sign Truck Closing: Wednesday, August 27, 2008 Quotations have been received for the above project. Five (5) companies were invited to participate' of which two (2) companies have responded by the official closing date and time. Quotations shall be irrevocable for 60 days after the official closing date and time. Copies of the quotations are attached for your review along with the summary of costs. Each line item provides a space for the vendor to indicate a "Yes, No, Specify" to provide the City with information and details to subjectively review each line item and the sum total of all specifications. Specifications Item 3 states: where a manufacturer deviates from the quotation specifications, they must indicate "NO" and then specify the changes. The acceptance of these deviations relies solely within the discretion of the City. The quotation submitted by Formula Ford Lincoln in the total amount of $82,814.31, GST and PST included, is the low quotation and is subject to further evaluation of the equipment's conformance to specification. Vendor Price G.S.T. P.S.T. Total Price per Unit Formula Ford Lincoln $73,287.00 $3,664.35 $5,862.96 $82,814.31 Donway Ford Sales $73,658.00 $3,682.90 $5,892.64 $83,233.54 Summary Q.63.2008 This award is subject to Council approval. I ;:C)', ._OJ~~ 3if-og ,. ~ ;t Include in your report to Council: 4 1. the appropriate account number(s) to which this work is to be charged and the budget amount(s) assigned thereto 2. Treasurer's confirmation of funding 3. related departmental approvals 4. anyreason(s) why the bid of Formula Ford Lincoln is not acceptable, and 5. related comments specific to the project Bidders will be advised of the outcome. Please do not disclose pricing to enquiring bidders. Subject to Council ,approval, an approved "on-line" requisition will also be required to proceed. If you require further information or assistance during the evaluation phase of this quotation call, contact me at extension 2131. .' '-:7). ' {".~/ ,/ August28,2008 Q-63-2008 - One-ton Sign Truck Page 2 Call 0# REPORT TO EXECUTIVE COMMITTEE Report Number: OES 35-08 J Date: October 14, 2008 From: Everett Buntsma Director, Operations & Emergency Services Subject: Durham Region Grade 5 Action Pass Program File: A1440 Recommendation: 1. That Report OES 35-08 regarding the Durham Region Grade 5 Action Pass Program be received; 2. That Council approve the Durham Region Grade 5 Action Pass Program for Grade 5 students to have free access to City of Pickering public swim and public skate programs; and 3. That the appropriate officials at the City of Pickering be given authority to give effect thereto. Executive Summary: The objective of the Grade 5 Action Pass Program is to reduce financial barriers to youth and promote physical activity, in order to get youth (specifically Grade 5 students) more active. The City of Pickering is recommending making all public swim and public skate programs free of charge to Grade 5 students with the use of the Grade 5 Action Pass. The other Durham Region municipalities that are participating in the Grade 5 Action Pass program will also be designating free programs for access to Grade 5 students. Durham Lives! Steering Committee has provided funding of $4,000 for the implementation of the Grade 5 Action Pass commencing this fall. The funds received will be used for promotion of the program, as well as the costs associated with providing membership cards to each participant. Report OES 35-08 October 14, 2008 Subject: Durham Region Grade 5 Action Pass Program " r /' () Page 2 Staff anticipate minimal impact to the Culture and Recreation current budget with this program, but an increase in program revenue may be experienced as families participate together. Financial Implications: The City of Pickering will experience minimal impact on the current budget to implement this program because it is believed that many of the children this pass targets are not consistently participating in drop-in recreational activities at our facilities, therefore creating minimal revenue loss. It is possible that a revenue increase would be expected as it is assumed the student may participate with someone, including a parent, sibling, or friend, who is not in Grade 5 and who is not currently participating. It is also the end goal of this program that students would continue to participate in activities well beyond their Grade 5 year. Although the City of Pickering does not currently have statistics for Grade 5 student participation in our public swim and public skate programs, it is anticipated that an increase in overall participation will occur in both paying and non paying participants, based upon the concept of families participating together. Sustainability Implications: The Grade 5 Action Pass Program supports development of a safe and healthy community, through encouragement of active participation. The program contributes to the physical, social, and emotional wellness of residents, and promotes the benefits of active living. The Grade 5 Action Pass will expand opportunities for children and youth to participate in quality sport and physical activity. Background: Durham Lives! was formed in 1998 as a result of funding from the Ministry of Health and Long Term Care. Durham Lives! promotes physical activity, healthy eating, and smoke-free living for a healthy community. The municipal working group focuses on the physical activity component. Representatives in the Physical Activity Group include Municipalities of Pickering, Ajax, Whitby, Oshawa, Clarington, as well as the Oshawa YMCA, the Region of Durham Health Department, Heart and Stroke Foundation, Oshawa Senior Citizen's Centre, and Metroland News Group. Just over one third of children and youth meet the guidelines for optimal growth and healthy development (Active Healthy Kids Canada, 2008). Children's habitual physical activity levels are low, and more importantly, these levels decline dramatically from CORP0227-07/01 revised Report OES 35-08 October 14, 2008 Subject: Durham Region Grade 5 Action Pass Program Page 3 17 childhood through adolescence. In addition to their bodies changing and activity levels decreasing, adolescence is an age where the children are becoming more independent and wanting to get involved in their own activities, but at the same time they still have strong family ties, and want to be involved in their family happenings. Durham Lives! would like to target ten year olds with a Grade 5 Action Pass to generate an interest in fun activity that may carry on into future years, and maintain a regular commitment to fun physical activity throughout their teens, as well as to help address the rising obesity & inactivity being experienced in this age group. The Durham Region Grade 5 Action Pass Program is being targeted to the Grade 5 demographic based on historical research findings on physical activity patterns. This research shows that during the pre-teen ages of 11 and 12 years there is a decline in physical activity. This trend can be attributed to hormonal changes, rapid growth in the body, peer pressure, self esteem, and confidence. The Grade 5 Action Pass will generate interest in fun activities, allowing the youth to maintain a regular commitment of physical activity throughout their teen years, as well as help address the rising obesity and inactivity levels experienced within this age group. The objective of the Grade 5 Action Pass is to reduce financial barriers to youth and promote participation by providing a free activity pass to get more youth more active. The pass will be offered to all students during the year they are in Grade 5. It is recommended that the Grade 5 Action Pass include free access to public swim and public skate programs. There are many community benefits that can be realized through participation in this program: · Assisting in getting inactive kids off the couch or the computer and into municipal facilities creating a healthier community; · Changing lifestyle behaviours in children at an impressionable age, whereby they may choose to invest in themselves once they have moved beyond the program by continuing to participate in future grades; · Providing families for which fees may be a barrier to participation, an avenue to participate in our facilities and activities; · Encouraging families as a whole to become more active by participating in our facilities and programs with their Grade 5 child or sibling(s). CORP0227 -07101 revised Report OES 35-08 October 14, 2008 Subject: Durham Region Grade 5 Action Pass Program i '3 ' I ,.. '.. \. Each Grade 5 student in Pickering will receive a letter from Durham Lives! and will be required to come to the Pickering Recreation Complex to receive their Grade 5 Action Pass, by showing identification provided by Durham Lives!, and the Durham District School Board or the Durham Catholic District School Board. Page 4 The success of the program will be tracked and evaluated by the number of participants registered for the program. The Durham Lives Physical Activity Working Group will also conduct surveys pre and post program. At the time of registration, the student will complete a survey and again nearing the end of the program an online survey will be developed for completion by the students. Prizes will be awarded for completion. The group will also conduct a progress tracking activity with the participants at the mid-way point to keep motivation high, and encourage keeping physical activity in their daily routines. Durham Lives! will work with its community partners including the Durham District School Board and the Durham Catholic District School Board, to communicate this program to the Grade 5 students. Each municipal partner will communicate the program availability for each participant to be distributed by the school boards to the students. The Grade 5 Action Pass Program is not unique. It is based upon best practices of Kingston and Lennox and Addington Counties, which have operated similar successful programs for the past few years. This program has been so successful, with approximately three quarters of the grade fives participating, that it has now been extended to include students in Grade 10 and is "on the radar" of the Ministry of Health Promotion. Durham Lives! is supporting this pilot project to Durham Region Grade 5 children in hopes that the success in Durham will mirror that of the Kingston area program. Future funding is not guaranteed by Durham Lives! but there are hopes that the program will be adapted in future years, either by the Ministry of Health Promotion or included in annual program plans and operating budgets by the participating partners once evaluated, and the value of the program to the children and youth as well as to the community observed. Attachments: Not applicable CORP0227 -07/01 revised Report OES 35-08 October 14, 2008 Subject: Durham Region Grade 5 Action Pass Program Page 5 9 Prepared By: Approved/Endorsed By: ~ / /' .' / - ,/' ,Ai "" ~'-~ .:,'. (~). '- . .--CI fA ~-._ I Stephen'-Re1nolds Division Head, Culture & Recreation ~li , ... . /J '.', -J..' 'c- "'11".... ... -....._ . .... .c ~./ IL!,~1..b:f,t'~:.:i~~ Stiaron Milton - Supervisor, Facility Programs Approved/Endorsed By: SM:lg Copy: Chief Administrative Officer Recommended for the consideration of Pickering City cil / 6?t , CORP0227-07/01 revised CiUI a~ REPORT TO EXECUTIVE COMMITTEE ('\ U Report Number: CS 40-08 Date: October 14, 2008 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Internal Controls Review - Clerks Division, Animal Services Section Recommendation: That Report CS 40-08 of the Director, Corporate Services & Treasurer regarding the results of the Internal Controls Review - Clerks Division, Animal Services Section be received for information. Executive Summary: The 2006 - 2008 Internal Audit Work Plan included a review of the Clerk's Division, Animal Services Section. Attached is a copy of Internal Audit's final report, including an Executive Summary, which provides the results of the review. Clerks Division management's response, in the form of an action plan, together with the report recommendations, can be found in Appendix 1 of Internal Audit's report. Financial Implications: There are no financial implications associated with this report. Sustainability Implications: There are no sustainability implications associated with this report. Background: In early 2006, the position of Manager, Internal Audit & Control was filled. With the creation of this new position, the City is able to have a dedicated Internal Audit function to evaluate the adequacy and effectiveness of internal controls across the City. On October 3, 2006 the Committee approved the Internal Audit Charter which is an important document in the foundation of an Internal Audit function. The Charter sets out the mission, objective and scope, accountability, authority, responsibilities and standards of practice of the Internal Audit activity. According to the Charter, the Internal Audit Work Plan is to be submitted to the Committee for its review and audit results are to be reported to senior management and the Committee. On November 12, 2007 the Executive Committee reviewed and approved the 2008 - 2010 Internal Audit Work Plan. The plan provided a summary and brief description of Report CS 40-08 October 14, 2008 Subject: Internal Controls Review - Clerks Division, Animal Services Section Page 2 /1 ,"J I the audits to be undertaken for the next three years. An updated 2009 - 2011 Work Plan will be presented to the Executive Committee in the fall of 2008. A report on Internal Audit's results to date was also received for information at the November 12, 2007 Executive Committee meeting. This report summarized the Internal Audit Results since the position of Manager, Internal Audit & Control was created and filled. During this period a number of investigations and audits were completed, which included a cash receipts and revenues review of the Pickering Recreation Complex. The 2006 - 2008 Internal Audit Work Plan included a review of the Clerk's Division, Animal Services Section. The review has been completed and the final report is attached for your information. Clerks Division management are in general agreement with the review observations and conclusions. Their response, in the form of an action plan, together with the report recommendations, can be found in Appendix 1 of Internal Audit's report. Internal Audit is currently performing a revenue controls review of the Clerks Division, the results of which will be reported to senior management and the Executive Committee. Once this review is completed, Internal Audit will commence its audit of the Operations Centre in accordance with the 2008-2010 Work Plan. Attachments: 1. Internal Controls Review - Clerks Division, Animal Services Section Prepared By: Approved/Endorsed By: ~ )V~ ~mes Halsall Manager, Internal Audit & Control -'] ",- ~'-/'" <::-" -,,-' , .,.;/',' ~~, Gillis A. Paterson Director, Corporate Services & Treasurer Copy: Chief Administrative Officer Recommended for the consideration of Pickering Cit Council ,\ '1' I , \ I ,') ) ,(.-- CITY OF PICKERING Clerks Division Animal Services Section Internal Controls Review Final Report Internal Audit Corporate Services Department June 2008 ::1 # L. TO REPORT #..tL4 ,) - o:{ TABLE OF CONTENTS ) 0) 3 5 6 7 7 7 8 8 9 9 10 10 10 11 11 12 12 12 13 13 13 14 14 14 15 15 EXECUTIVE SUMMARY BACKGROUND SCOPE AND OBJECTIVES REVIEW RESULTS 1.0 Policy and Procedures 2.0 Revenue Completeness 3.0 Animal Services Shelter 3.1 Segregation of Duties 3.2 Numerical Continuity of Receipts 3.3 Physical Security at the Shelter 4.0 Animals Licences (New & Renewals) 4.1 Proof of Sterilization 5.0 External Animal Licence Sales 5.1 Written Confirmation of Agreements 5.2 Issuance and Reconciliation of Tag Numbers 6.0 PetSmart Adoptions 6.1 Pick-up of Cash Receipts 7.0 Tags and Forms Inventory 7.1 Tags Record Keeping 7.2 Physical Security of the Inventory at the Civic Centre 8.0 Employee Time & Attendance Management 8.1 Supervisory Approval of T&A Information 8.2 Advising the Timekeeper of Employee Absences 9.0 Budget Control 9.1 Monitoring of Revenues and Expenditures 10.0 Final Comments APPENDIX 1 - REVIEW RECOMMENDATIONS AND MANAGEMENT ACTION PLAN 2 4 EXECUTIVE SUMMARY The Clerks Division, Animal Services Section was created in January 2006 to provide animal related services to the residents of Pickering. The objective of Internal Audit's review was to assess whether the controls established by management were adequately designed with respect to Animal Services revenues and expenditures, employee time and attendance, monitoring of budgets and inventory of animal licence tags. The Supervisor, Animal Services has made progress in writing and implementing financial and operational procedures for the newly created Animal Services Section. Internal Audit reviewed several of these procedures and our comments have been incorporated in the procedures where Clerks Division management was in agreement. The City Clerk is in the process of reviewing these procedures which are expected to be finalized and distributed to staff in July 2008. Clerk's Division management have implemented a number of controls to reduce the risks inherent with collecting revenues; however, controls at the animal shelter could be improved to compensate for the poor segregation of duties. In particular, the animal shelter's weekly Revenue Reports and supporting documentation should be independently reviewed and the numerical continuity of the manual receipts periodically checked. In addition, our review recommended that Animal Services revenues recorded in the general ledger be reconciled on a monthly basis with the related services provided. Prior to 2008, a contractor sold dog and cat licences door-to-door on behalf of the City. Licences are also sold at several veterinarian clinics. Our review noted some good control practices regarding the remittances of cash receipts from these external parties. Controls in this area could be enhanced by implementing written agreements between the City and the veterinarian clinics to ensure responsibilities and expectations are clearly communicated. Also, the tag numbers given to external parties should be reconciled to the licences submitted and the tags returned at the end of the year. This would provide assurance that cash remittances from the sale of licences are complete. The review found that the controls over the tracking and safeguarding of dog and cat licence tags need to be strengthened to ensure all tags are accounted for. In particular, perpetual inventory records should be maintained to track the movement of tags which can be used to determine the quantity of tags that should be on hand at any time. Physical counts of the tags should also be completed periodically and reconciled to the perpetual records. The review also noted that the physical security of the tags kept at the Civic Centre could be improved to properly safeguard them from loss or theft. 3 The control designs over employee time and attendance were satisfactory. However, the Supervisor, Animal Services did not always review and approve the time and attendance reports for Animal Services staff prior to their submission to Payroll. In all cases, the reports were approved by the City Clerk or Deputy Clerk. Also, procedures for advising the Division's timekeeper of employee absences or approved leaves in writing were not consistently followed. IJ Animal Services Section's actual revenues and expenditures in 2007 were within its budget. Although these year-end financial results are positive, Clerks Division procedures for monitoring the budget could be more formalized. In particular, any errors or budget variances - potential or actual - that are indentified during management's review should be recorded, as well as their causes and follow-up or corrective actions taken. Lastly, Internal Audit concluded that controls are adequate over expenditures to provide management with reasonable assurance. that Animal Services expenditures are authorized, well supported and comply with policies and procedures. Clerks Division management are in general agreement with the review observations and conclusions. Their response, in the form of an action plan, together with the report recommendations, can be found in Appendix I of the report. In closing, I would like to thank Clerks Division management and staff for their cooperation and patience during the review. ~ -) ~? /L. .'. v'?' . / /)/.h.. "".., I~ --. ..e:E (:6ames Halsall Manager, Internal Audit & Control 4 -6 BACKGROUND The 2006 - 2008 Internal Audit Work Plan included a review of the Clerk's Division, Animal SeNices Section. Pound-keeper and animal control seNices were provided by the Town of Whitby for the municipalities of Ajax, Pickering and Whitby on a cost share basis. This agreement was terminated on January 1, 2006 and the Clerks Division, Animal SeNices Section was created to provide animal related seNices to the residents of Pickering. The primary objective of the Animal Services Section is to provide the community with the highest level of animal care achievable in the most cost effective manner. This new service is responsible for reuniting lost pets back with their families, yearly cat and dog licensing, pet adoption and fostering, enforcing the City's animal related by-laws and educating the public on the importance of being a responsible pet owner. All functions of the Animal SeNices Section are handled in house with the exception of shelter seNices. An agreement for these seNices was arranged with the Municipality of Clarington; however, it was on a temporary basis and ended on June 3, 2007. The City has since signed an agreement with Country Kennels located at 15 Reesor Road, Toronto, to provide animal shelter and care seNices until December 31,2011. In 2007, total expenditures for the Animal SeNices Section were budgeted at over $300,000 and total revenues were budgeted at $110,000. The section is comprised of four staff; a supeNisor, two full time employees and one temporary employee. 5 ,7 ; I SCOPE AND OBJECTIVES The objectives of this review were to determine whether controls were adequately designed to provide reasonable assurance that: licence, impoundment, adoption, service and other fees were properly charged and collected; cash receipts (including cheques, debit and credit card transactions) were recorded, promptly deposited and safeguarded from loss or theft; revenues were accurately summarized and recorded on Revenue Reports; employee attendance, leave and overtime policies and procedures were being complied with; budgets were regularly monitored and significant variances identified and investigated; expenditures were authorized, well supported and complied with policies and procedures; and cat and dog licence tags inventory was adequately safeguarded against loss or theft. The final objective was to identify opportunities to improve financial controls, processes and efficiencies. A risk based approach was used to perform the review and the methodology included interviews with relevant staff, site visits, reviews of documents and reports, performing walkthroughs, evaluation of management control practices and any other procedures deemed appropriate. The scope of the review was limited to evaluating the adequacy of the design of internal controls established by management of the Clerks Division. Detailed testing of the effectiveness of the controls was not performed as this level of assurance was not required by the City's senior management. The review examined the controls that operated during the period January 1, 2007 to December 31, 2007. Internal Audit staff completed their fieldwork and issued the draft report in March 2008 and management's action plan was received in June 2008. 6 \ ;{ , ....-' REVIEW RESULTS 1.0 POLICY AND PROCEDURES The SupeNisor, Animal SeNices has made progress in writing and implementing financial and operational procedures for the newly created Animal Services Section. These procedures were either already implemented or were in the process of being written during our review and covered such areas as: payments at the animal shelter; security measures at the animal shelter; money handling at PetS mart; licencing of dogs and cats; handling payments on the road; and after hours response. Policies and procedures are an important part of the control environment and help ensure that risks are adequately managed and control objectives are achieved. Internal Audit reviewed the above procedures and provided its comments to the SupeNisor, Animal SeNices. Our comments have been incorporated in the procedures where Clerks Division management was in agreement. The City Clerk is in the process of reviewing the Animal Service procedures; however, the City is revising its standards and formats for policies and procedures. Once this is completed, the City Clerk needs to formally approve (e.g., signed off and dated) the procedures and distribute them to staff. 2.0 REVENUE COMPLETENESS Annual revenues for the Animal Services Section are budgeted at over $100,000 and include dog and cat licence fees, adoption fees, impoundment fees, owner surrender fees and fines. Most of the revenues budgeted (over 85%) are from the sale of dog and cat licences. Good internal control requires that a system be in place to reconcile revenues received with related services provided. Although the SupeNisor, Animal SeNices provided monthly reports on the section's revenues and activities, the revenues recorded in the general ledger were not reconciled to the related seNices provided (licences issued/renewed, animals adopted, impounded and surrendered, etc.) Reconciling revenues received with the related seNices provided on a monthly basis would provide management with greater assurance that all revenues are received and properly recorded. Ideally, the individual completing the reconciliation should be someone whose duties are segregated from producing the monthly activity reports. 7 3.0 ANIMAL SERVICES SHELTER J '7 In July 2007, the City entered into an agreement with Country Kennels to provide animal shelter and care services until December 31, 2011. The facility used for the animal shelter is shared between the City and Country Kennels. Animal Services staff collects approximately $1,000 each month in fees (12 transactions a month) at the shelter. Cash receipts are an organization's most liquid assets and therefore subject to the greatest risk of misuse. Strong controls for handling these assets are necessary to ensure proper recording of revenues and timely deposit of funds. To help achieve these control objectives, Clerks Division management have implemented the following controls at the animal shelter; acceptable payment methods are by cheque, debit or credit card (no bank notes or coin accepted); manual receipts are used to record all payments received; a Revenue Report is completed to summarize and record the revenues collected; regular balancing of the week's activities to the cheques received and debit and credit card transactions processed; and installation of a safe to secure animal licence tags, receipts and animal licence applications. These controls help reduce the risks inherent with collecting revenues; however, controls could be stronger in the areas of segregation of duties, monitoring of refunds and ensuring the numerical continuity of receipts. 3.1 Segregation of Duties Segregation of duties is one of the key concepts of internal control and is the most difficult and sometimes most costly one to achieve. It involves the separation of the functions of authorization, asset custody, record keeping and reconciliation, and is used to ensure that errors or irregularities are prevented or detected on a timely basis. In those instances where duties cannot be fully segregated, management is required to establish mitigating or compensating controls. Internal Audit reviewed the cash handling responsibilities at the animal shelter and observed that the same staff performed the following incompatible duties: collected payments; completed the Revenue Report; balanced the cash receipts (cheques, debit and credit card transactions) to the weekly activities; and prepared the bank deposit. 8 , ...... , , /J, ~J Based on current staffing levels, it would not be practical to segregate the incompatible duties at the animal shelter. Management's decision to only accept cheques, debit or credit cards (no bank notes or coin accepted) mitigates this poor segregation of duties to a certain extent. An independent review of the animal shelter's Revenue Report and supporting documentation should also be implemented. A "second set of eyes" would reduce the risk of errors, omissions or irregularities regarding the collection and recording of revenues. In addition, refund procedures require that a cheque requisition be completed by the Supervisor, Animal Services and approved by the City Clerk or Deputy Clerk. However, staff collecting payments at the animal shelter could also potentially issue refunds by debit or credit card without management's approval. An independent review of the animal shelter's Revenue Reports and supporting documentation would detect the issuance of any unauthorized or inappropriate refunds. 3.2 Numerical Continuity of Receipts The animal shelter uses pre-numbered manual receipts to record all payments collected and a copy of the receipt is provided to the payer. Control in this area would be enhanced by (1) retaining any voided receipts and (2) periodically verifying the numerical continuity of the receipts (issued and blank) by a person independent of the payment collection process. This control would enable management to detect any gaps in the numerical continuity of the forms and thereby reduce the risk of misappropriation. 3.3 Physical Security at the Animal Shelter A small office at the animal shelter is designated for Animal Services staff use. The doors to the office are not locked when City staff are offsite increasing the risk of unauthorized access. Due to the building's configuration, the doors . cannot be locked without denying the owner of Country Kennels access to the rest of the facility. Management has addressed this risk by having no cash (bank notes and currency) on site and installing a safe to secure any items of value (animal licence tags, receipts and animal licence application forms). Internal Audit visited the animal shelter in early January 2008 and observed that a working supply of receipts (blank) and licence application forms were kept in a file folder on top of a desk in the Animal Services office. An issued licence with copies of receipts attached was kept in another file folder on the desk. These documents were not locked up when staff were off-site. Not properly securing these documents increases the risk of their loss, theft or misuse. Animal Services staff had arranged for a safe to be installed, but had not yet implemented its use. When this was brought to City Clerk's attention, corrective action was taken immediately. 9 4.0 ANIMAL LICENCES (NEW & RENEWALS) , ,1 The annual dog and cat licence fees are as follows: Sterilized $20 Unsterilized $40 Microchip - Sterilized $15 Microchip - Unsterilized $35 In 2007, Animal SeNices Section collected over $95,000 from the sale of dog arid cat licences. With respect to licence renewals, letters were sent out in late 2006 and early 2007, which created a large volume of payments to process. In most cases, the payments were received in the mail. The scope of this review did not include the Clerks Division mail opening procedures; however, these procedures will be reviewed in the upcoming revenue audit of the Clerks Division. 4.1 Proof of Sterilization Although proof of sterilization must be provided to qualify for the discount, this requirement was not enforced. In most cases, owners indicated their cat and/or dog was sterilized when completing their 2007 licence application forms. As noted above, there is a significant reduction in the licence fee (50%) if an animal is sterilized. Without requiring proof of sterilization, there is a risk that owners may falsely claim that their animal is sterilized to pay the lower fee. It is recommended that this requirement be enforced on a go forward basis for the sale of all new licences and renewals. 5.0 EXTERNAL ANIMAL LICENCE SALES Dog and cat licences are available for sale at the Civic Centre, veterinarian clinics and the animal shelter. Prior to 2008, a contractor also sold licences door-to-door on behalf of the City. Licence sales (gross) from the door-to-door contractor and veterinarian clinics totaled over $50,000 during the year. Our review noted some good control practices regarding external sales of animal licences. For example, the SupeNisor, Animal SeNices reviewed the door-to-door contractor's remittances of cash receipts to ensure the correct amount was submitted. Remittances from the veterinarian clinics were also reviewed by the supeNisor for accuracy. Areas where controls could be strengthened are noted in 5.1 and 5.2. 10 ) '- 5.1 Written Confirmation of Agreements Although a letter was sent to veterinarian clinics in 2007 advising them of any new licensing processes and procedures, there were no written agreements between the City and the clinics regarding the sale or renewal of animal licences. Written confirmation of the agreements makes good business sense and reduces the risk of disputes which may occur regarding responsibilities or terms of the agreement. The City Solicitor recommends that a simple letter be written confirming the agreement between the City and the veterinarian clinics that could be sent each year when the licence tags are issued. All terms of the agreement should be clearly stated in the letter, such as when proceeds from the sale or renewal of animal licences are to be remitted to the City. 5.2 Issuance and Reconciliation of Tag Numbers Upon payment of the animal licence fee, the owner is provided with a tag which is to be securely fixed on the animal to which it is issued at all times. The tags are pre-numbered and the tag number is written on the licence application form for tracking purposes. The Supervisor, Animal Services kept a record of the tag numbers given to the door-to-door contractor and veterinarian clinics; however, only the door-to-door contractor was required to sign for the tags upon receipt. Also, Animal Services staff were not required to sign for tags transferred to the animal shelter or PetSmart. As a result, accountability for the tags was not clearly established. Commencing in 2008, procedures now require City staff and veterinarian clinics staff to sign for all tags received or transferred. To ensure good internal control, the tag numbers given to external parties should also be reconciled to the licences submitted and tags returned at the end of the year. This control was not performed by Animal Services staff, in part due to the large number of tags given to the door-to-door contractor. In its place, a report was produced in 2007 from the Amanda application which identified any licencing gaps from the prior year (i.e., tag numbers with no information recorded in the system). The Supervisor, Animal Services reviewed this report and investigated any gaps to determine the reason(s) for them. However, the documentation was not retained to verify that this review was performed and that all tags had been accounted for. 11 6.0 PETSMART ADOPTIONS Z t ....) In late 2007, Animal Services partnered with PetSmart to reduce the number of homeless pets. At no cost to the City, PetSmart provides retail space at its store in Pickering where cats can be placed for adoption. This partnership has been very successful as it has increased the visibility of the cats available for adoption. In October alone, a total of 12 cats were adopted at PetSmart and $980 was collected in adoption fees for the City. A number of recommendations were made during our review to improve procedures related to the handling of PetSmart cash receipts as noted below. 6.1 Pick-up of Cash Receipts PetSmart staff collect the adoption fees on behalf of the City. The cash collected from each adoption is placed in a sealed envelope and is kept in the store safe until the cash receipts are picked up by Animal Services staff. A more secure alternative to picking up the cash receipts would be for PetSmart to directly remit a cheque to the City. According to the Supervisor, Animal Services, PetSmart's adoption partnership processes are standardized across all its stores and any changes would require the approval of its head office. If remitting a cheque to the City is not possible, Clerks Division management needs to ensure procedures for handling PetS mart cash receipts are adequate. Internal Audit reviewed the written procedures for handling PetSmart cash receipts and made some suggestions to improve them. For example, a record should be made of the number of envelopes picked up, expected cash receipts and the date the funds were picked up. This record should be signed off by a PetS mart employee and Animal Services staff to acknowledge the transfer of funds. Although Animal Services staff opened each sealed envelope in the presence of a Financial Services cashier, a record should also be made of the amount of cash counted, which is then verified and signed off by the cashier. The Supervisor, Animal Services has incorporated Internal Audit's recommendations into the PetSmart money handling procedures which were implemented in March 2008. 7.0 TAGS AND FORMS INVENTORY In 2007, the Animal Services Section purchased a total of 5,000 animal licence tags for the year. The tags supply, manual receipts (blank) and animal licence application forms are kept at the Civic Centre. The review found that controls over the tracking and safeguarding of animal licence tags need to be strengthened to ensure that all tags are accounted for as noted in 7.1. 12 4 7.1 Tags Record Keeping Strong internal control requires that perpetual inventory records be maintained for the tags. Also, the City's Financial Control Policy (27.02) requires that accurate records of inventory be kept. Perpetual inventory is a method for tracking and knowing the quantity of tags that should be on hand at any time by tracking their movement (e.g., receipt, transfers, issues and returns). Physical counts of the tags should also be completed periodically and reconciled to the perpetual records. Although the Supervisor, Animal Services recorded the tags given to the door- to-door contractor and veterinarian clinics, a perpetual inventory system was not maintained. Physical counts of the tags were also not performed. As a result, management could not determine or provide Internal Audit with the amount of tags that should be on hand or fully account for all tags received, transferred, issued and returned in 2007. 7.2 Physical Security of the Inventory at the Civic Centre A small working supply of tags, licence applications and manual receipts (blank) was kept at the Clerk Division's front counter. After business hours, the working supply was locked up in a three drawer cabinet. However, the key to this cabinet was placed in another cabinet, which was not locked after business hours. As a result, access to the working supply was not effectively restricted. If practical, the key to the cabinet should be assigned to an individual who is personally responsible for it and any spare keys adequately secured. This individual's backup may also require their own key to the cabinet. Keys should not be left or hidden in unsecured desk drawers, cabinets, etc. overnight. The main supply of animal tags and licence application forms was kept in a cabinet outside the Supervisor, Animal Services' office. This cabinet was not locked during or after business hours, increasing the risk of loss, theft or misuse of the tags and/or forms. This was contrary to the City's Financial Control Policy (27.01) which requires that City inventories be physically secured. In particular, access to the animal tags needs to be restricted to properly safeguard them. 8.0 EMPLOYEE TIME AND ATTENDANCE MANAGEMENT Employee time and attendance (T&A) information is recorded by the Clerks Division timekeeper in the E-Time system for each pay period. The hours recorded for Animal Services staff are based on their work schedule approved by management. The Supervisor, Animal Services is responsible for advising the timekeeper of any changes to an employee's work schedule and of any employee absences. 13 f'- '-.. ~ -...J The review found that procedures for approving T&A reports and advising the timekeeper of employee absences in writing were not consistently applied. 8.1 Supervisory Approval of T&A Information A key control to ensure that employee T&A reports and related supporting documentation is correct is for management to review and approve this information. This control should be performed by the individual, normally the immediate supervisor, most knowledgeable of the time worked and absences of the employees involved. At the end of each pay period, the Clerks Division timekeeper prints a T&A report for the Animal Services Section. This report is to be reviewed and approved by the Supervisor, Animal Services and the City Clerk. In 2007, only 6 out of the 12, or 50%, of the employee T&A reports sampled were approved by the supervisor. Three out of the twenty-four, or 13%, of the Overtime Authorization Reports sampled were also not initialed by the supervisor. In all these cases, the reports were approved by the City Clerk or Deputy Clerk. In situations where the Supervisor, Animal Services is not present to approve employee T&A or Overtime Authorization reports by the payroll due date, it is recommended that the timekeeper return a copy of the report(s) to the supervisor for her review and signature. Any corrections necessary can be coordinated with the timekeeper and made in the next pay period. 8.2 Advising the Timekeeper of Employee Absences It is a good practice to advise timekeepers in writing of all approved employee leave requests and any other absences. This provides greater assurance that employee T&A reports accurately reflect time worked, leave taken and any other absences. This documentation also provides evidence of management's approval of any leave requests before the leave was taken. According to the employee T&A reports, the Supervisor, Animal Services was sick for a total of three days in 2007. These absences were not reported to the timekeeper in writing. The supervisor had also taken several leave days (vacation or time-in-lieu) between August and early November 2007. Although the T&A reports reflected these approved leaves, the timekeeper was not advised of them in writing. Written notification (leave form or e-mail) should be provided to the timekeeper in all cases of employee absences. 9.0 BUDGET CONTROL Animal Services Section's actual revenues and expenditures in 2007 were within its budget. Although these year-end financial results are positive, Clerks Division procedures for monitoring the budget could be more formalized as noted in 9.1. 14 ". 't b 9.1 Monitoring of Revenues and Expenditures Management's review of financial data or reports is an important control to ensure any errors or budget variances - potential or actual - are identified, investigated and corrective action taken where necessary. Both the City Clerk and Supervisor, Animal Services said they reviewed the Animal Services revenues and expenditures recorded in the general ledger (detail and/or summary level) and compared them to the budget on a regular basis. However, there was insufficient documentation to verify the frequency and extent of their reviews. The documentation could be improved by printing and retaining the reports from the general ledger and recording the results of management's review (what concerns, errors and budget variances - potential or actual - were identified, their causes, follow-up or corrective action(s) taken, etc.). 10.0 FINAL COMMENTS In closing, Clerks Division management are in general agreement with the review observations and conclusions. Their response, in the form of an action plan, together with the report recommendations, can be found in Appendix I of the report. 15 CITY OF PICKERING Clerks Division Animal Services Section Internal Controls Review Appendix 1 INTERNAL AUDIT RECOMMENDATIONS AND MANAGEMENT ACTION PLAN 7 Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 1.0 Policy and Procedures Once the City has revised its standards and Compile listing of all policies and Supervisor, Completed formats for policies and procedures, the City procedures for approval by City Clerk. Animal Clerk finalize and approve (e.g., sign and Servicesl date) the Animal Services written Coordinator, procedures. Records and Elections Complete draft of policies and forward Supervisor, June 15/08 to Records and Elections Coordinator Animal for formatting. Services Submit on a weekly basis, draft Coordinator, ONGOI NG formatted policies for approval by City Records and Clerk. Elections Finalization and sign off of policies. Coordinator, June 30108 Records and Electionsl City Clerk Distribution and staff sign off of Coordinator, July 15/08 policies. Records and Electionsl Supervisor, Animal Services Animal Services Section Revenues and Expenditures Internal Control Review C() Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 2.0 Revenue Completeness The City Clerk require staff to perform a Due to the time lag between recording monthly reconciliation of Animal Services payments in the G/L and entering revenues received with related services animal licences in the AMANDA provided. database, reconciling animal services revenues to related services cannot Ideally, the individual completing the be easily done on a monthly basis. reconciliation should be someone whose duties are segregated from producing the Instead, the reconciliations will be Supervisor, June 30 and monthly activity reports. performed twice a year at which time Animal Dec 31 greater priority/resources will be given Services/ to ensuring the data entry of animal City Clerk licences in the AMANDA database is current. The reconciliations are to be submitted to the City Clerk for approval. Implementation of the new animal management software should also improve the timeliness of the data entry of licences and renewals. Animal Services Section Revenues and Expenditures Internal Control Review ~ Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 3.0 Animal Services Shelter 3.1 Segregation of Duties The City Clerk or Deputy Clerk; (a) perform an independent review of the Reviews to be completed and Deputy Clerk Completed animal shelter's Revenue Reports and verified/signed off by the Deputy supporting documentation; and Clerk. (b) ensure that this control is included in Draft procedure in conjunction with Refer to 1.0 Refer to 1.0 the written procedures for the animal Item 1.0. shelter. 3.2 Numerical Continuity of Receipts The City Clerk: (a) require that the numerical continuity of Quarterly audit of the receipts to be Coordinator, June 30/08 receipts at the animal shelter be completed by the Records and Records and verified periodically by a person Elections Coordinator, and submitted Elections independent of the payment collection to City Clerk. process; and (b) ensure that this control is included in Draft procedure in conjunction with Refer to 1.0 Refer to 1.0 the written procedures for the animal Item 1.0. shelter. Animal Services Section Revenues and Expenditures Internal Control Review C) Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 4.0 Animal Licences (New & Renewals) 4.1 Proof of Sterilization The City Clerk: (a) direct staff to require proof of Include in policy and procedure Supervisor, June 30/08 sterilization from pet owners to qualify documentation and send out via email Animal for the discount for all new animal to staff. Staff will be directed to ask Services licences or renewals; and for proof of sterilization from pet owners to receive the discount. When proof is not provided, the pet owner will be required to confirm that their pet is sterilized. (b) ensure that this requirement is included Draft procedure in conjunction with Coordinator, June 30/08 in the written procedures for licencing Item 1.0. Records and of dogs and cats. Elections 5.0 External Animal Licence Sales 5.1 Written Confirmation of Agreements The City Clerk prepare a simple letter Draft and send out letter, including Supervisor, Completed confirming the agreement between the City review of the letter by the City Animal and the veterinarian clinics that is provided to Solicitor. Services the clinics when the tags are issued. All terms of the agreement should be clearly stated in the letter. Animal Services Section Revenues and Expenditures Internal Control Review --'> Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 5.2 Issuance and Reconciliation of Tag Numbers The City Clerk: (a) require that staff reconcile the tags Reconciliations to be completed and Supervisor, December 31 given to veterinarian clinics to the signed off by the City Clerk at the end Animal licences submitted and tags returned; of each calendar year when unsold Services/City and tags are returned to the City Clerk (b) ensure that this control is included in Draft procedure in conjunction with Supervisor, June 30/08 the written procedures for licencing Item 1.0. Animal dogs and cats. Services/ Coordinator, Records and Elections 6.0 PetS mart Adoptions 6.1 Pick-up of Cash Receipts If directly remitting a cheque to the City is not Email to be sent out by Supervisor, Supervisor, Completed possible, the City Clerk ensure that staff have Animal Services on procedure to be Animal implemented the PetSmart money handling followed. Procedures were Services procedures. implemented in March 2008. Animal Services Section Revenues and Expenditures Internal Control Review ,. " I '-.J Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 7.0 Ta~s and Forms Inventory 7.1 Tags Record Keeping The City Clerk: (a) require that the Supervisor, Animal Inventory form to be developed for Supervisor, Completed Services maintain perpetual inventory recording tags. Animal records of tags. Physical counts Services should also be completed periodically and reconciled to the perpetual Physical counts to be completed on a Coordinator, June 30/08 records; and quarterly basis by the Records and Records and Elections Coordinator, and signed off Elections (b) ensure that this control is included in by the City Clerk. written procedures for the tracking and safeguarding of animal tags. Animal Services Section Revenues and Expenditures Internal Control Review ( , '-N Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 7.2 Physical Security of the Inventory at the Civic Centre The City Clerk: (a) ensure that staff are not leaving or Key to be kept in the Deputy Clerk's Clerk, Completed hiding keys in unsecured desk drawers, office which is locked each evening. Administration cabinets, etc. overnight. If practical, the key to the cabinet where the Backup key to be given to City Clerk Supervisor, Completed working supply is kept overnight should for inclusion with the Master set. Animal be assigned to an individual (and Services possibly a second key to their backup) who is personally responsible for it; (b) require that access to the main supply Tags are kept in the office of the Deputy Clerk Completed of tags be restricted (e.g., cabinet Deputy Clerk which is locked each locked) during and after business; and evening. (c) ensure that physical access controls Draft procedure in conjunction with Supervisor, June 30108 are included in written procedures for Item 1.0. Animal the tracking and safeguarding of animal Servicesl tags. Coordinator, Records and Elections Animal Services Section Revenues and Expenditures Internal Control Review ...(:;>. Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 8.0 Employee Time and Attendance (T&A) -- Management 8.1 Supervisory Approval of T&A Information The City Clerk ensure that the Supervisor, Meeting to be held with Committee Supervisor, Completed Animal Services reviews and approves all Coordinator to review approval Animal T&A and Overtime Authorization reports for process to be followed. Services/ the section. Deputy Clerk In situations where the Supervisor, Animal City Clerk to only sign off on sheets Supervisor, Completed Services is not present to approve the T&A that are signed by the Supervisor, Animal or Overtime Authorization reports by the Animal Services. Services/ payroll due date, the timekeeper should Committee return a copy of the report(s) to the Coordinator supervisor for her review and signature. Any corrections necessary can be coordinated with the timekeeper and made in the next pay period. 8.2 Advising the Timekeeper of Employee Absences The City Clerk ensure that the timekeeper is Emails to be sent to the timekeeper by Mg mt. staff Completed advised in writing of all approved employee designated supervisor. leave requests and any other absences. Draft procedure in conjunction with Coordinator, June 30/08 Item 1.0. Records and Elections Animal Services Section Revenues and Expenditures Internal Control Review 0, Clerks Division Internal Audit Recommendations and Management Action Plan Recommendations Action Planned or Taken Assigned To Target Date 9.0 Budget Control 9.1 Monitoring of Revenues and Expenditures The City Clerk formalize management's Legal Services Assistant to print out Legal Services Completed review of revenues and expenditures G/L reports on a monthly basis for Assistant recorded in the general ledger. review by Supervisor, Animal Services, formal sign off and Specifically, the general ledger reports (detail comments as necessary and forward and/or summary level) should be printed and to City Clerk. retained and management's review better Committee June 15/08 documented (what concerns, errors and Review stamp to be ordered for Coordinator budget variances - potential or actual - were official documentation. identified, their causes, follow-up or corrective action(s) taken, etc.). Animal Services Section Revenues and Expenditures Internal Control Review 0, Citlj 0# REPORT TO EXECUTIVE COMMITTEE Report Number: CS 44-08 Date: October 14, 2008 '7 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Tender / Contract Approval - Councils' Summer Recess Recommendation: 1. That Report CS 44-08 regarding tendering and contract approvals during Councils' Summer Recess be received; and, 2. Council pass a resolution ratifying the approval of the Tenders and Contracts by the Chief Administrative Officer contained in this Report during Council's summer recess being Tender No. T-7-2008 Surface Treatment, Tender No. T-8-2008 Pickering Lawn Bowling Greens Phase II, Tender No. T-9-2008 Path Extension to Bus Loop at Sunbird Trail Park and Tender T-11-2008 Supply & Installation of Humidification System Pickering Civic Complex. Executive Summary: Council is required to approve contract awarded by the Chief Administrative Officer during recesses of Council. The following contracts were awarded over the summer months when Council was not meeting. Financial Implications: There are no financial implications pertaining to this report. Sustainability Implications: In accordance with sustainability initiatives and with the G.I.P.P.E.R.'s (Governments Incorporating Procurement Policies to Eliminate Refuse) Guide 3rd Edition, October, 2002, a waste management plan was requested by the City and received from the contractor undertaking the work for the Path Extension to Bus Loop at Sunbird Trail Park, Tender No. T-9-2008. Background: On May 21, 2002 Council passed Resolution #80/02 Item 4 authorizing the Chief Administrative Officer act in Council's approving capacity on behalf of Council during any recess, break or absence of City Council, which states in part: "2. That, subject to the Council approved Purchasing Policy & Procedures, the Chief Administrative Officer be authorized to act in Council's approval capacity on Report CS 44-08 Date: October 14, 2008 Subject: Tender / Contract Approval - Councils' Summer Recess )g Page 2 behalf of Council during any recess, break or absence of City Council on the condition that: (a) such actions are in compliance with the Purchasing Policy & Procedure as approved under Resolution 136/02; and (b) the costs thereof are within the budget previously approved by Council; and (c) a report respecting those approvals is subsequently submitted to Council." Circumstances were such that four Tenders required approval by the Chief Administrative Officer during Council's summer 2008 recess. It is recommended that Council receive this Report for information and ratify the approval of Tender No. T-7-2008 Surface Treatment, Tender No. T-8-2008 Pickering Lawn Bowling Greens Phase II, Tender No. T-9-2008 Path Extension to Bus Loop at Sunbird Trail Park and Tender No. T-11-2008 Supply & Installation of Humidification System Pickering Civic Complex Therefore, under authority of the foregoing, the following was approved by the Chief Administrative Officer during the "summer recess" of Council: Tender No. T - 7 - 2008, Surface Treatment The low bid Tender No. T -7-2008 submitted by Miller Paving Limited be approved. 1. TENDER AMOUNT T-7-2008 GST Sub-Total GST Rebate Total $697,448.50 34,872.43 732,320.93 (34,872.43) 697,448.50 A OVED SOURCE OF FUNDS R d C . I B d 2. PPR , oa s aPlta u 1get Description Account Code Source of Funds Budqet Required Sideline 16/north of RR 5320.0809.6250 Provincial Grant 185,000 237,673 #5 Sideline 16 from 5320.0810.6250 Provincial Grant 300,000 319,733 Du~hmas~rNuffie~to yth Cone. Road Paddock Road from Hwy 5320.0811.6250 Provincial Grant 400,000 218,042 7 to yth Cone. Road FUNDS 885,000 775,448 AVAILABLE Report CS 44-08 Date: October 14, 2008 Subject: Tender / Contract Approval - Councils' Summer Recess Page 3 \9 3. ESTIMATED PROJECT COSTING SUMMARY T-7-2008 - Tender for Surface Treatment Project Associated Costs Materials Testing Miscellaneous Costs Construction Contingency Total GST Total Gross Project Cost GST Rebate Total Net Project Cost $697,448 5,000 3,000 70,000 $775,448 38,772 814,220 38,772 775,448 4. Project Costs under/(over) Approved Funds $109,552 Tender No. T - 8 - 2008, Tender for Lawn Bowling Greens - Phase II The low bid Tender No. T - 8 - 2008 submitted by Melfer Construction Ltd. be approved. 1. TENDER AMOUNT T -8-2008 GST Sub-Total GST Rebate Total $359,532 17,976 377,508 (17,976) $359,532 2. APPROVED SOURCE OF FUNDS Seniors Centre Ca Budqet Project Code Source of Funds Seniors Centre 5701.0802.6181 Property Taxes Donation Funds Available Required $199,532 200,000 $399,532 3. ESTIMATED PROJECT COSTING SUMMARY T-8-2008 Tender for Pickering Lawn Bowling Greens Phase II Associated Costs Consultants Fee Contingency Total GST Total Gross Project Cost GST Rebate Total Net Project Cost $359,532 25,000 15,000 $399,532 19,977 419,509 (19,977) $399,532 4. Project Cost under/(over) Approved Funds $468 Report CS 44-08 Date: October 14, 2008 Subject: Tender / Contract Approval I :; I. ,);J - Councils' Summer Recess Page 4 Tender T-9-2008 Tender for Path Extension to Bus Loop at Sunbird Trail Park The low bid tender of Dig Con International Limited be approved. 1. TENDER AMOUNT T -9-2008 GST Sub-Total GST Rebate Total $89,903.00 $4,495.15 $94,398.15 ($4,495.15) $89,903.00 2. APPROVED SOURCE OF FUNDS Parks Ca ital Bud et Location Project Code Source of Funds Sunbird Trail 5780.0706.6129 RF DC - Parkland Park Development & Trails R DC - City's Share Funds Available Budqet $104,398 $18,423 $122,821 Required $91,378 $16,125 $107,503 3. ESTIMATED PROJECT COSTING SUMMARY T-9-2008 - Tender for Path Extension To Bus Loop At Sunbird Trail Park $89,903.00 Associated Costs Materials Testing Consultant Fees Miscellaneous Costs Construction Contingency Total 2,500.00 2,600.00 2,500.00 10,000.00 107,503.00 GST 5,375.15 Total Net Project Cost $112,878.15 (5,375.15) $107,503.00 Total Gross Project Cost GST Rebate 4. Project Cost under/(over) Approved Funds $15,318.00 Report CS 44-08 Date: October 14, 2008 Subject: Tender / Contract Approval - Councils' Summer Recess Page 5 1 Tender No. T-11-2008 Tender for Supply & Installation of Humidification System, PickerinQ Civic Complex The low bid tender of Gimco Limited be approved. 1. TENDER AMOUNT T-11-2008 GST Sub-Total GST Rebate Total $226,569.45 11,328.00 237,879.45 (11,328.00) $226,569.45 2. APPROVED SOURCE OF FUNDS Culture & Recreation Ca Project Code Source of Funds 5700.0705.6181 Federal Gas Tax 5700.0810.6181 Federal Gas Tax 5800.0829.6181 Federal Gas Tax MECF Grant Funds Available $201,000.00 Required $80,000.00 36,000.00 85,000.00 46,500.00 $247,500.00 3. ESTIMATED PROJECT COSTING SUMMARY T-11-2008 Associated Costs T-11-2008 Consultant Fees Tender & Misc. Costs Contingency Total Costs GST Total Gross Project Cost GST Rebate Total Net Project Cost $226,569.45 20,000.00 6,000.00 2,000.00 254,569.45 12,728.47 267,297.92 (12,728.47) $254.569.45 4. Project Cost under/(over) Approved Funds ($7,069.45) It was important this project proceed prior to the commencement of heating requirements. The Director, Corporate Services & Treasurer has agreed to finance the over-expenditure of $7,069.45 from under-expenditures in the 2008 Current Budget or the Federal Gas Tax. Report CS 44-08 Date: October 14, 2008 Subject: Tender / Contract Approval i, - Councils' Summer Recess nl.. Page 6 Attachments: 1. Tender T-7-2008 re Surface Treatment - June 26, 2008 memorandum 2. Tender T-8-2008 re Pickering Lawn Bowling Greens - June 24, 2008 memorandum 3. Tender T-9-2008 re Path Extension to Bus Loop - July 15, 2008 memorandum 4. Tender T-11-2008 re Humidification System - August 14, 2008 memorandum 5. Resolution #80/02 6. Resolution #85/00 Prepared By: \ , \ Approved I Endorsed By: c:/1 '~ ...7 Vera A. Felgemacher C.P.P., CPPO, CPPB, C.P.M., CMM III Manager, Supply & Services .. ... ~~.'-h~?':~7 .-..-- c~':"__ -, '-~':':'''''''''~_'_7 ~" ''7 .,~~:= Gillis A. Paterson Director, Corporate Services & Treasurer GAP:vf Copy: Chief Administrative Officer Recommended for the consideration of Pickering City oun ", CiUf ,,# , )"-j'" eH' VH::~, :~;' '"' I /".: . r. ;11...1"" I 0"1'-1...--.. . ',' -i:J:. /'f~' LJ ,/ ,) r " l. _1,.,;,. -r' ,EMO Thomas J. Quinn Chief Administrative Officer j"i/WOR ~ILPKG .,l_?:!~~.CTO R S : C;:}f;P SERV : <'LA1\i & DEV ~~~~....~IV1E!.~ ,U:..'{; REC ;) " To: CAO~D, 2008 From: Everett Buntsma Director, Operations & Emergency Services OFFICE SUSTAIN CLERK HUMAN RES 'j .~~~'!~:..-_._.,-] CUST eM-:!:: 1 -MG :~i ~1~~.::.'.;-~::1::~0~~~.::D'~il ., Copy: Division Head, Municipal Property & Engineering Supervisor, Engineering & Capital Works '. Senior Financial Analyst Subject: Tender -7-2008 Surface Treatment File A-2130 A tender has been received which closed on Wednesday, June 18, 2008 for the placement of surface treatment on Sideline 16 from Regional Road #5 to north limit, Sideline 16 from Dutchmaster Nursery to Seventh Concession Road & Paddock Road from Highway 7 to Seventh Concession Road. Six companies were invited to participate, of which one bid was received. The following is a summary of the bid received. SUMMARY PST included, GST included Bidder Total Tendered Amount $ After Calculation Check $ Miller Pavinq Limited 732,320.93 732,320.93 Recommendations: 1. That Tender T-7-2008 submitted by Miller Paving Limited for surface treatment at a cost of $732,320.93 including GST to be approved; 2. That the total gross project cost of $814,220 (GST included) including the tender amount and other associated costs, and the total net project cost of $775,448 be approved; Financial Implications: 1. TENDER AMOUNT fT-7-2008 GST Sub-Total GST Rebate Total $697,448.50 34,872.43 732,320.93 (34,872.4~J 697,448.50 : Ii , 4 2. . APPROVED SOURCE OF FUNDS R d C . ~ oa s apital Budget - 2.00 Description Account Code Source of Funds Budqet Required I I Sideline 16/north of RR #5 I 5320.0809.6250 .- Provincia/ Grant 185,000 237,673 Sideline 16 from Dutchmaster 5320.0810.6250 Provincial Grant 300,000 319,733 Nursery to 7th Cone. Road Paddock Road from Hwy 7 to 5320.0811.6250 Provincial Grant 400,000 218,042 ih Cone. Road . FUNDS 885,000 775,448 AVAILABLE 3. ESTIMATED PROJECT COSTING SUMMARY T-7-2008 - Tender for Surface Treatment Project $697,448 Associated Costs Materials Testinq 5,000 Miscellaneous Costs 3,000 Construction Contingency 70,000 Total $775,448 GST ___~82Z~ --~------- ~<2!~1 Gro~s Project Cost. - 814,220 GST Rebate 38,772 Total Net Project Cost 775,448 The Director, Corporate Services & Treasurer has received the budgetary implications and the financing of expenditures contained in this memo and concurs. Sustainability Implications: The new hard toP. surface for the road will improve the traffic flow in these areas, thereby enhancing the quality of life for the residents and commuters travelling over these roads. With the new hard top surface maintenance costs for grading and dust control will be reduced for the next several years, thereby satisfying the social and environmental lens of sustainability. Background: As part of the 2008 Road Capital Budget, the placement of surface treatment on Sideline 16 from Regional Road #5 to the north limit, Sideline 16 from Dutchmaster Nursery to Seventh Concession Road and Paddock Road from Highway #7 to Seventh Concession Road were identified as construction projects. Tender T-7-2008 was issued on Monday, May 26, 2008 and closed on June 26, 2008 Tender T-7-2008 - Surface Treatment Page 2 Wednesday, June 18, 2008 with only one bidder responding. The total gross project cost is estimated to be $814,220 for an estimated net cost to the City of $775,448 (net of GST rebate). Miller Paving Limited has performed similar work for the City on Tender T-7-2005 surface treatment on Seventh Concession Road, Hoxton Street and VVestney Road and are deemed acceptable by the Supervisor, Engineering & Capital Works. The Health & Safety Policy, current WSIB, Council Amendment to Draft 7 (CAD-7), Certificate of Insurance as submitted by Miller Paving Limited has been reviewed by the Coordinator, Health & Safety and are deemed acceptable. In conjunction with staff's review of the contractor's previous work experience and the bonding available on this project, the tender is deemed acceptable. ,I'.. r- 1,:/ J Upon careful examination of all tenders and relevant documents received, the Operations & Emergency Services Department, Municipal Property & Engineering Division recommends the acceptance of the low bid submitted by Miller Paving Ltd. for Tender T -7 -2008 in the amount of $732,320.93 (GST included) and that the total net project cost of the $775,448 be approved. Attachments: . 1. Location Map 2. Supply & Services Memorandum, June 20, 2007 Approved/E r~red by: . i.. \ D'arrell Selsky Supervisor Engineering & Capital Works E e t B Director Operations & Emergency Services .~#ft=~ -- Gillis Paterson Director Corporate Services & Treasurer DS:nw Attachments June 26, 2008 Tender T-7-2008 - Surface Treatment Page 3 . " ,0 MUNICIPAL PROPERTY & ENGiNEERING Attachment For Tender: T-7-2008 SIDELINE 16 (2 LOCATIONS) and PADDOCK ROAD '~ ~ .I ~ f- Z 0 :2 SUBJECT lJ It AREA <( ..J U w z 3 0 ~ w z J w, o ~ REGIONAL L~ -' CLAREMON ~ (i II ~ ' ~\ 1m' : I 1 .. ...~ --", .~ lJIiic~ .'rcc1:~,",-- ~ ..~ .~ l "c.,,~.ln LOCATION MAP - Sideline 16 (From Concession 7 south to Dutchmaster) SUBJECT AREA z r"~~~~')= " o a T 10.,0 00 '" "'", y u o a <ll ~ LlMPandEIDesign SupportlCapital Projects & SchedulinglAttachments lor TendersI200BIT-07-0B Surface Treatment,doc I ""'''''"' .o.,~1 \ --...,~___-----..........\( J 'I II I'" I I' 11 I I, II / II II ( Ii ~l~J ';1 ~~-~~~ I I ~ \ ., ~ d ' 1'1 crzJ _ ~ GU ""'''" \f~-----'Y) ( \ \ )jj '1 J/ -~I-'>; (~ I c \ ~1 tll ~i LOCATION MAP - Paddock Road PROPOSED CONSTRlJCTION INCLUDES: )7 'I --,,-'<o':'(('i~'o". j t L f \ \ ( ~ \ I-jIGHWAY Drainage Improvement and Road Improvement (spot excavation, granular resurfacing and surface treatment) and Complete Landscape Restoration (grading and sodding where required). UMPandEIDesign SuppartlCapilat Projects & ScheduilnglAtlachmenls far Tenders\2008\T-07-08 Surface Treatment doc r'. .A LlUJ (!'F ...; /". (aat\ l, l\fEMO To: Richard Holborn Division Head, Municipal Property & Engineering June 18, 2008 From: Vera A. Felgemacher Manager, Supply & Services Copy: Supervisor, Engineering & Capital Works Subject: Tender No. T-7-2008 Tender for Surface Treatment . Closing: June 18, 2008 . Tenders have been received for the above project. Six companies were invited to participate. An advertisement was placed in the Daily' Commercial News; News Advertiser and on the City's . Website. A total of two companies picked up a tendering package for a non-refundable fee of $50.00. One bidder responded and submitted a tender for this project. A copy of the Record of. Tenders Opened and Checked used at the public tender opening is attached. Tenders shall be irrevocable for 60 days after the official closing date and time. . . Purchasing Procedure No. PUR 010-001, Item 10.03 (r) provides checking tendered unit prices and extensions; unit prices shall govern and extensions will be corrected accordingly, which has been done.. A copy of bid received is attached for review. . SUMMARY PST included, GST included Bidder Total Tendered Amount$ After Calculation Miller Paving Limited $732,320.93 $732,320.9 ;heCk $/ Pursuant to Information to Bidders Item 21, the following will be requested of the low bidder for your review during the evaluation stage of this tender call. (a) a copy of the Health and Safety Policy to be used on this project; (b) a copyof the current Workplace Injury Summary Report issued by Workplace Safety & Insurance Board (in lieu of the Workplace Injury Summary Report document, a copy of the current CAD 7, NEER, or MAP reports may be submitted); . . . (c) a copy of the current Clearance Certificate issued by Workplace Safety & Insurance Board; (d) the City's Certificate of Insurance shall be completed by the bidder's agent, broker or , insurer; FORM OF TENDER T-7.2008 l/we the undersigned bidder(s), have carefully examined all specifications, standard tender and contract terms and conditions. and drawings, do hereby offer and agree to supply aI/labour, materials. products, equipment, tools. machinery, freight to perform the services herein described for the following prire~. 9 r1tem No; I Description . i Unit i Est. Qty., ~nit Price I ~xtension 11.02.01 j Excavation -Including 0.300 m Granular. "A" i j ! I . f................._................-.+..~ia~~~~Jfi1'.if'(..D.utc.h.ma.s.te.r..to..co.r;cess.io.;;:.iii)......................f......m......3......f..............s.o..............J.....I.......:....0........;.o...........f.........;r..:::;.;..;.::::..a.l). ........................................;............................................................................ ...................... .................................................................'.............3......,.......... ........ .....c.............i........tl.........!.... ................,........{j?..'::::.~.:!..,.......... .! Paddock Road (Hwy #7 to Concession #7) 1 m i 50 I /".., 0 . 10 ! 6 OoS-: c" ............................................................................................................................................................................................................'.............3......'....................................".......0.:..................."......".......................................,..... ....................,..................1...~.~.~~~.~.~.~...~.1..?.J~.:.~.:...~.~..!?...~.~E!~...~.!~.!.~.L..............................................L.....f.n.........L...........~.~.9..............L......B:.:z..F...?~......i1.::$...?....f.~.~:..~.. I Excavation - Driveways . . II! 1 .........................................1..........................................................................,.........................................................................................:.............3......1................-...................,..............................7...'.........................................J....... . i Sideline # 16 (Dutchmaster to Concession #7) 1 m I 10 I / :;;J I, ';I (;' ! 1"31 '5: ~. r-:=~=~:=B~~~\~~%~~ilP~~~~~~:=#~i~:~=~~i-~~~-=r==:~~=-l::;~ff;:F2W~;~: ........................................i........;................................._..............................................'.........................................................................;......................;.....................................i....................................................1...::.............:\.............. 1.06.20 ! Granular "AU Roadway & Shouldering (150mm) j j . j ! . ...........................................................................................................................................................................................................;.............:z......;.....................................;.........................,...............t........................................,.... I Sideline #16 (Dutch master to Concession #7) j m i 14,200 1. t(/j i//'?30.tJ'<' ........................................,...................................................................................................................................................................,.............:z......,....................................,.........................:;?'..........,...........-............................... . 1 Paddock Road (Hwy. #7 to Concession #7) 1 m i 19,800 1. "',/:1 ! /(: I :?lo.~ ........,...............................,...................................................................................................................................................................:.............~......t.............................._....I...........n...........?...........",............................................ . 1 Sideline #16 (RR.#5 to North Limit) 1 m 1 9,500 i 0: /;'> i 77~.;'~....."~ ............ .......................~..............................................................................................................,....................................................:......................:....................................oJ...........Q..,........................~............................................. "1.06.30 i Granular "AU - Driveway i . !. . !. . i .......................................i..................................................................................................................................................................;......................~..................................i.............................,....,.-..'t.......................................... i Sideline #16 (Dutchmaster to Concession #7) . 1 t 1 195 I ;}/?'J ~ i 9;2 3:3. 'J . .::::::::.::::::::::::::::~::~::::::T::~:~~.~?~:~::~~:~:~::I8:~Y.::#.!::~~~:~:~:6.~~:~~:!?6:::#..!I:::::::::.:::::::::::::::::I::::::::L:::::I:::::::::::~:~:~:::::::::::T:::::::~i:~::::~:;:':I:::I.;:I.:?:~:::::~~'" ! Sideline #16 (RR #5 to North Limit) 1 t.1 195 i .L/;l..:J~ i 'i233.:L .......................~.............:...................................................................................................................................................................1......................:......_.............................:........=t.:..............................:.........~................................. "1.08.29 . 1 Hot Mix HL- 3 - Driveways (50mm) . !. I I I.. ............................................................................................................................................................................................................,.............2......"....................................,..........................................,......................,...................... I Sideline #16 (Dutchmasterto Concession #7) i m i 180 i .3/.~JJ ! S-&~&.c'''' ............................................................................................................................................................................................................1.............2.......,.....................................j..................../l................................................................... I Paddock Road (Hwy #7 to Concession #7) ! m ~ 330 ! ,3/." t.J ! /0 yJ 8 c.,. :::.::::...:::::::.::::....:.::::::::..L~:!.~?:!\~:~:::#.5~::{~;~:::.#..~.:~?::H9..i:~ti::~:!.~i.i.~.i:::::.:::.....:::..:.::...:.:.::....::::::.:::J:::.:.6:i::::~:L:.:::.::::.~:9.:.:::::~:.::I::.:..::j:.L::~.~::.:.::I:....;;L~:...fi....~.~.: .1.08.71 i Supply double application of H.F. Ii. i . I ......................................j....~.?.9....~...~..~.!~.~.~...~.9.9.~~.9.~.!~..............................................................................L...........2......1....................................1....................:....................1..................................:rc:r . 1 Sideline #16 (Dutchmaster to Concession #7) I m I 11,150 I ?/.. (P:3 ! ~/~;2 y. :::::::::::..:::::::::::::::::::::::::I:~:~:~.~?~:~::~9.~:~.~I8:~y.:;::#.!::!:~:::~?~~~:~~:!?~:::#.?L.~,:::::::::::::::::::::I::::Di~::::T::::::.~:~:;:~:9.~::::.T::::::::1!.:':::~::~::::::::I:::7.;::7.~:i:::~~: ........:..............................!...~.!9~~.~~.~...~.~..?.. (~J3.:...~.~..!?..~.?..:.~~...~.~~!n.................................................L....f.n....... .L.......~.!.~.~g..........1.........~~....~.~~...........L.2..z....q..tq~...=.~.. ...~..~.Q.~.~.!.~...........-I-..~.~~f~.~.if6~.~t~~~~~~t~r-t~.t~nc.f~.ss.io.n.'#'i'f...................I.......nl.....f.......1'1";1.50.......f-.......7.....~.3............f....~;;...o.;I.~~Q.. ,........................................................................................................................................................................................................................2.....................................................................................................................i........':>.. . . I Paddock Road (Hwy. #7 to Concession #7) I m I 15,500 I /.96 I .'30 690. c" ........................................).....................................'.............................-..............................................................._.............................J.............2.....+....................................).................................................:\...................................... i Sideline #16 (R.R#5 to North Limit) . i m i 8,000 i /.. 9 g i /5-:if Yo. .,"' ........................................1............................................................ ......................................................................................................1................"...........................................1...........................................;................................,............. ...:?~.~..~.!.~.!............................................................................................................................:...............................................................................................................................:..............i...~...l.1...?...y'lt.~.... Goods & Services Tax (5%) ! $ 31 ~11. ,'/3 ...f6TAC..T.E.r::if5fj~E.b..AMO'U.NT.......................:........................:............................................................................................'.........................................................t...$...73.i.3.z';;:''7' ".. - TOTAL TENDERED AMOUNT REPEATED HERE IN WORDS ~,<L-k/~-tiJ, t4..J ~ kdb( ~-it ~ .J-/ <f and . ~./Z/uU . . DOLLARS CENTS FT-1 FORM OF TENDER T~7.2008 (j u I/We, the undersigned, declare we have carefully examined the Addendum(s) numbered .-=- - TENDER SUBMITTED BY: Company Name: M \ l ( r e. (rl-\\J i I.,J L -L ~M ~ I \t:.O Address: .}f57ZJ11,-,\(O(2..t?Si 'f:.D- G6et\'.'~postal Code: kO\~ (~O Date: 'Jo. N ~ \ ~ . J-oo~' Te/ephone: 90) 7,) b 95/ K Fax: '1 () -s; );2~ '*.1 () . . '. ~ Aut~orized .official VtuL Ciff~f'1I{.:;;/1t( tl;: /j.Y~'}I.1~'7/j?C;Ji{C13' .'. -~dCAft~. Print Title. SIgned CORPORA TE SEAL FT-2 REFERENCE SUMMARY Tender No. T-7-2008 >' I Name three government agencies or private companies for which you have performed the work of this quotation. II Work performed previously. for the City of Pickering should be detailed also. DO NOT submit partial information and presume that the City is familiar with the project. , . List and provide DETAILS of the last three (3) Municipal projects your company has completed. If any of the last three (3) principal projects are also any of the last three municipal projects, please include on both schedules Project Details:.~ l..( Value: ~ '" """\ D~V' 000 ~ Contact Person: '? po"-'.(,.. 't~ Ptl. I (. Sf LA e te-/k.L '7 If' t11'.r/1''?L''n/T'' d jYu ,,~W.: . JI"71---(. . Owner' . . . C(;.~\, ~...f\ l. 0 (L Itv-1-L I \3u eTDJ0 . Telephone No. . .?~S- c()~~tb. /7? L ,Project Det~~ . r){~ ..\- 9LiA(.~ G e~ "A'l Value: 4,. ~ . ..., b (JO, DO 0 , --------------- Contact Person: . ",L 11/!-~1. Pc::' .J'77L . , i./-w D D6vhi e .,5/ ~ ~ Mt1( r;' 'Tkc?t"T'h~~ Owner:. .. '.".. ')' __ ;tftt/lf;CI)?~f qt e---;(~t;&1t({rY~J...-o-:v Telephone No, '. COJ--- &,,;;,;] .2.2 q I. Project Details: I ' ., ~5~PP/v tJOuilrt 1/I1;{'P~ Value: 1:1f ( c.c - c:J ~o D06 . Contact Person: . ;]I,v'! fq /?/l/i72 ---- .;/ ,(!!Jlf711t:7V I Owner:// /)'/ . / v<-- . (,{rof" cflutJolfrC lJ'-<)l Telephone NO~ '" . 'l/,y:1 ~?9 2 - ;J &-. ~ State number of years your company has been in business 5'0 ~'lilformation received on this form and obtained from reference checks will be considered during . evaluations and will be used to serve the best of interests of the City and no liability shall accrue to the City from such an undertaking and all decisions derived therefrom.* RS-1 CITY OF PICKERING RECORD OF TENDERS OPENED ANC Tender Description: Surface' Tender No. T-7-2008 Date: Wednesday June 18,20 Bidder Name Bid Deposit Total Amount Tendered Duncor Enterprises Inc. Miller Paving Ltd. fA) / 7:;J.. 31.0.93 \j Cj " '.,., ,,~, ' qTY STAFF PRESENT \ . l!~ "' ~tl1"~ .wt' cY~8~" , -.......e 0~ CITY OF PICKERING RECORD OF TENDERS OPENED AND CHECKED Tender Description: Surface Treatment Tender No. T-7-2008 Date: Wednesday June 18, 2008 . Time: Approx.2:15pm Bidder Name Bid Deposit I Agreement to Bond Total Amount Tendered BIDDER'S SIGN IN COMMENTS Duncor Enterprises Inc. Miller Paving Ltd. f>8 / v 7:;J..3J..O, 93 /"f' "/ ...../...zC. , '';',.. "< /) '-"1ft) I, ,:'<-r.'. /'.'_- '-___.., "I ;~~" OTHER -... ~ ::...N Citq 0;1 ~~ G4--/ '~'1 ~ ~ #~. .....~I.;C;fl!:'?t"\,t).T#. i.S -...._. ','~""r .'~...j ',.);~. JUN.2'S"1OO3"" ,-' ~~~<i'! MEMO r..'._.....'...""":...., '_"'" ...._~......._._""..___._""__.~....... .; ",.J ',' ,-~ _" 1,- ~.' ..;,.,...;/~:.~J>~,;.;]~c('~~;; ,.,-:..-.... -,.~.,'-.._-"'-__..._.___ _."o."..! ~/.:.'...__.~H.d,...:..~..:.:'j.~{..~.~l?+-~.~~:.!.'~i.! v;.G~E;.L{f.;;:;:;;.;~.~ 1. ! ".'.~"'.',~:'\J June 24,2008 II {--: To: Thomas J. Quinn Chief Administrative Officer From: :cu, ,\ iH,C Everett Buntsma .:TF';'f;'~-' " ,.1.,..,-......-. Director, Operations & Emergency Servlc~.~':..... C.:.: ",. .~-_ ,.:~.'~~: i5. ~.~ :\fi~~,~;'~ ~.':j',~;' ::'.~:\:\ii Gillis Paterson Director, Corporate Services & Treasurer Copy: Division Head, Culture & Recreation Manager, Supply & Services. Supervisor.. Engineering & Capital Works Coordinator,l~n9s~ape & Parks Development '~~niorFinanCial Analyst . i.. Subject: Tender No. T-8-2008 Tender for Pickering lawn Bowling Greens - Phase II . File: F-5400 Tenders have been received and reviewed for the construction of Pickering lawn Bowling Greens - Phase" and expansion of parking area and associated works. at East Shore Community Centre. All bids received were above the approved budget ($400,000) for this ptoject. Items of work were deducted in consultation with the Pickering lawn Bowling Club from each of the bids to arrive at the needed savings for this project. These works include the proposed shade structures, a percentage of the pati~ slab paving and site furniture. The attached letter dated June 17,2008 from Bruce Johnson, Cosburn Giberson Consultants Inc. provides a detailed breakdown of the deductions for each bid. Me/fer Construction Inc., the initial low bidder, has remained as the low bidder after these saving are applied The Operations & Emergency Services Department and Cosburn Giberson Consultants Inc. recommend the acceptance of the tender submitted by low bidder Melfer Construction Inc. in the . amount of $359,532 plus GST which includes the following deductions. 3.2 Paving New Green Sides- 60% 3.3 Paving under Shade 3.4 Paving South Green - 60% 4.1 Benches - 50% 4.2 Shade Structures 4.3 Waste Receptacles 7.0 Miscellaneous Works $ 6,888.00 $ 9,240.00 $ 8,400.00 $10,400,00 $48,000.00 $ 4,400.00 $ 9,000.00 Total Deductions $96,328.00 Without removing the above item the total tender would have approximately $495,000.00 (net of GST rebate), while the budget was $400,000.00. By removing these items now, th~ project can proceed within budget now. It is anticipated that a Report to Council will be prepared explaining the increased cost, the need to remove certain items, the probability that the Pickering Lawn Bowling Club will purchase these items directly for their use and the need for revised financing. ," , I, ! ,J Recommendation: 1. That Tender No. T-8-2008 submitted by Melfer Construction Inc for the construction of Pickering Lawn Bowling Greens Phase /I and expansion of parking area and associated works at. East Shore Community Centre in the amount of $377,508.00 (GST included) be accepted; 2. That the total gross project cost of $419,509.00 and a net project cost of $399,532.00, including the tender amount, cons~Iting fees and other associated costs be approved. . Financial Implications: 1. TENDER AMOUNT T-8-2008 GST Sub~Total GST Rebate Total $359,532 17.976 377,508 ...(17.976) . $359,532 2. APPROVED SOURCE OF FUNnS S . C t C 't I B d t emors en re a )1 a UJqe . Budaet Proiect Code Source of Funds Budaet Reauired Seniors Centre 5701.0802.6181 Property Taxes $200,000 Donation 200,000 FUNDS A V AILABLE $400,000 $399,532 3. ESTIMATED PROJECT COSTING SUMMARY I _T-8-2008 Tender for Pickering Lawn Bowling Greens Phase II $359,532 Associated Costs Consultants Fee 25,000 _Contingency - 15.000 Total $399,532 - GST 19,977 . Total Gross Project Cost -- 419,509 -- -- GST Rebate --- ~n c--. =="- Total Net Project Cost . $399,532 ------ r~ 4. [lroject Costs (under) Approved Funds ~ ($468) I June 24, 2008 Tender No. T-8-2008 Tender for Pickering Lawn Bowling Greens - Phase /I Page 2 The Director, Corporate Services & Treasurer has reviewed the budgetary implications and the financing of the expenditures contained in this report and concurs. ; Ii I. 6 , Sustainability Implications: The construction of a second lawn bowling green will enhance the existing Pickering Lawn Bowling Green and continue to encourage the development of active, healthy lifestyles through the provision CJ high quality programs as well as expand the numbers, capacity and quality of lawn bowling programs. Background: The second Lawn Bowling Green and parking expansion was approved by Council in the 2008 Capital Budget. The Pickering Lawn Bowling Club has committed to contribute $200,000 for this project. The consulting firm of Cosburn Giberson Consultants Inc was retained by the Pickering Lawn Bowling Club to provide tender specifications and technical support. A summary of the bids received is included in the attached memorandum from Supply & Services. The low bid was submitted by Melfer Construction Inc. Melfer Construction Inc. references have been checked and are deemed acceptable by the consultant (Bruce Johnson) and the . Coordinator, Landscape & Parks Development. The Health & Safety Policy, Workplace Injury Summary Report, WSIB Clearance Certificate and Certificate of Insurance as submitted by Melfer Construction Inc. have been reviewed by the Coordinator, Health & Safety and are deemed acceptable. In conjunction with staff's review of the contractor's previous work experience and the bonding available on this project, the tender is deemed acceptable. Upon careful exarnination of all tenders and relevant documents received, the Operations & Emergency Services Department, recommends the acceptance of the low bid submitted by Melfer Construction Inc. for Tender T-8-2008 in the amount of $377,508 (GST included) and that the total net project cost of $400,000 be approved. This report has been prepared in conjunction with the Manager, Supply & Services who concurs with the foregoing. . The Seniors Activity Centre is closed for annual maintenance the first two weeks of July. Approval at this time would allow construction to commence while the Seniors Activity Centre is closed. It will also allow for the timely seeding of the new lawn bowling green. Upon your approval for this tender and associated costs we will proceed with an online requisition to issue a Purchase Order. June 24, 2008 Tender No. T-8-2008 Tender for Pickering Lawn Bowling Greens - Phase II Page 3 Attachments: 7 1. location Map 2. Supply & Services Memorandum dated June 17, 2008 3. Cosburn Giberson Consultants -letter of Recommendation sP~~ Gillis Paterson Director, Corporate Services & Treasurer Apprqved/Endorsed by ~. T s J. Quinn Chief Administrative Officer ~ SR:/g .lune 24,2008 Tender No. T-8-2008 Tender for Pickering Lawn Bowling Greens -Phase II Page 4 CULTURE & RECREATION DIVISION Attachment For T'ender: T-8-2008 PICKERING LAWN BOWLING GREENS - PHASE II i I! I, o cc w x o POPRAD AVENU E SANGRO LANE DRIVE FORDON 0 0 cr <{ f- <{ > w 1 0 w w cc -I cc LN. ::> f- a (/] [J 0 > PAT RE 0 -.l ill Z LAN _ 0 -.l f- a I z U <{ a 0 a.. cc cc <( w Z > :J LOCATION MAP PROPOSED CONSTRUCTION INCLUDES: Lawn Bowling Greens Portion . Installation of 1 new lawn bowling green and all supporting infrastructure (drainage, irrigation, fencing, sod etc.) . Installation of a new lighting Parking Lots Work . Installation of additional parking spaces and connecting road to the north side of the East Shore Community Centre LIMPandEIDesign Support\Capital Projects & SchedulingVltlachmenls for Tenders\2008\T-080B Liverpool Fast Shore.doc CiiLJ 0# 9 To: MEMO Stephen Reynolds Division Head, Culture & Recreation From: Vera A. Felgemacher Manager, SUpply & SeNices June 12, 2008 Copy: Co-ordinator, Landscape & Parks Development Subject: Tender No. T-8-2008 Tender for Pickering Lawn Bowlin Greens - Phase 1/ Tenders have been received for the above project by the closing date of June 11,2008. Seven cOmpanies were invited to participate. An advertisement was placed in the Daily Commercial News and on the City's Website yielding interest from additional bidders and a total of 13 companies picked up a tendering package for a non-refundable fee of $75.00. A mandatory site visit was held on Friday, May 30, 2008, 12 bidders attended of which seven (6) bidders responded and submitted a tender for this project and 1 bidder unable to bid. A copy of the Record of Tenders Opened and Checked used at the pUblic tender opening is attached. Tenders shall be irrevocable for 60 days after the official closing date and time. Purchasing Procedure No. PUR 010-001, ttem 10.03 (r) provides checking tendered unit prices and extensions; unit prices shall govern and extensions will be corrected accordingly, which has been done. All deposits other than the low three bidders may be returned to the applicable bidders as provided for by PurChasing Procedure No. PUR 010-001, Item 10.03(w). However, all bids have been retained for review at this time. . Bidders --.-..--- SUMMARY PST included, GST included Total Tendered Amount $ After Calculation Check $ 465,423.00 522,885.35 478, 653.00 522,885.35 - 550,747.44 629,046.81 653,638.44 UNABLE TO BID Automatic rejection - Addendum not acknowledged. Purchasing By- law No. 5900-01, Procedure No. PUR 010-001,10.04, Item 12,/B Item 3 (b), 17, 18 19; letter dated June 6/08; Addendum No.1. -- ----- ------ Pursuant to Information to Bidders Item 21, the following ~Ni" be requeste.J of the low bidder for. your review_during the evaluation stage of this tender call. I ! J I I! j /) \_ (a) Proof of compliance with amended Confined Space Entry Regulations (September 30, 2006). Copies of certified Training and Procedures to be used on this project. (b) a list of employees trained in the confined space entry procedure who will be working on this project (c) a copy of the Health and Safety Po/icy to be used on this project; (d) a copy of the current Workplace Injury Summary Report issued by Workplace Safety & Insurance Board (in lieu of the Workplace Injury Summary Report document, a copy of the c~rrent CAD 7, NEER, or MAP reports may be submitted); (e) a copy of the current Clearance Certificate issued by Workplace Safety & Insurance Board; (f) the City's certificate' of insurance shall be completed by the bidder's agent, broker or insurer; (g) list of sub-contractors in accordance with GC Item 33, Form SCL-1 (h) Waste Management Plan (Item 23, Information to Bidders) Include the followi~g items in your Report to Council: (a) if items (a) through (h) noted above, are acceptable to the Co-ordinator, Health & Safety (b) any past work experience Melfer Construction Limited including work location; (c) without past work experience, if reference information is acceptable; . (d) the appropriate account number(s) to which this work is to becharged; (e) the budget amount(s) assigned thereto; (f) Treasurer's confirmation of funding; (9) related departmental approvals; (h) any reason(s) why the low bid of Molfer Construction is not accoptable; dnd (i) related comments specific to the project. . Cosburn Giberson as the consultants on this project will be reviewing submissions and making recommendations to you. The consultant should also review carefully all submittal information based on tendering instructions.. If the consultant notices any infractions or information missing during the evaluation, please contact a member of Supply & Services as soon as possible. Duplicate copies of the bids are attached for the consultant's use. Please do not disclose any information to enquiries except you can direct them to the City's website fO. r t~. e unofficial bid results as read out at the Public .tender opening. Bidders will be advised of the outc me in due course. . If yo require further information, please feel free to contact me or a member of Supply & Services. G~~~~\~emaCher vf Attachments June 12, 2008 T-8-2008 Pickering Lawn Bowling Greens - Phase II Page 2 COSBURN LANDSCAPE GIBERSON ARCHITECTS .., 1 . I June 17,2008 , "';',<0,",' CITY OF PICKERING Pickering Civic Complex 1 The Esplanade Pickering. Ontario L 1 V 6K7 Attention: Mr. Steve Reynolds Re: Pickering Lawn Bowling Phase" Green Construction - Tender Results and Analysis Our File No.: 1997 Further to the tender results for the above-noted project (closed on June 11. 2008) and our meeting at your offices yesterday. we write to offer our recommendations for award of this contract. As discussed at our meeting all bids received were above the available budget for the project. We have provided our evaluation of the bids and offer suggestions to bring the project within budgets. As you will note. we have deducted the items of work discussed in our meeting from each of the bids. These works include the proposed shade structures. a percentage of the patio slab paving and site furniture. These items were also acceptable modifications in the opinion of the Bowling Club and allow us collectively to arrive at the needed savings for the project. Melfer Construction Inc. the initial low bidder has remained as the low-bidder after these savings are applied. We recommend that a contract be awarded to Melfer Construction Inc. in the amount of $359.532.00 net of Goods and Services Taxes. We trust that this is satisfactory to your requirementS for the project award. Please do not hesitate to contact our offices. if we may be of further assistance in this matter. Bru Ass BJ: sc cc: Reg Lawrence. Pickering Lawn Bowling Club Arnold Mostert. City of Pickering Cosburn Giberson Consultants Inc. I 7270 Woodbine Avenue I Suite 100 I Markham I Ontario I L3R 489 Telephone 905-475-6988 I Fax 905-475-5930 I cosgib@rogers.com COSBURN LANDSCAPE GIBERSON ARCHITECTS ') L. TENDER EVALUATION Project: Owner: File No: Date: Pickering law Bowling - Phase II - Green Construction City of Pickering 1997 June 17, 2008 MontqOmerv Melfer Cambium Site Rutherford MacEwen Construction Contracting Diq-Con Contractinq ContractinQ Item Description Inc. Inc. International Ltd. limited Part A 1.0 Site Preparation & Demolition $43,314.00 $70,835.00 $45,564.50 $41,924.80 $54,036.71 2.0 Site Servicing $23,800.00 $35,820.50 $87.643.00 $39.758.02 $35.169.35 3.0 Paving and Edges $161,905.00 · $197,527.85 $142,478.25 $224,174.23 $279,677.34 4.0 Structures, Components, $103,070.00 $62,661.70 $158,483.55 $78,145.99 $63,035.18 · Furniture 5.0 Electrical Works $37,400.00 $38,185.00 $50,225.00 $43,128.08 $49,854.20 6.0 Soft Landscaping $11,061.00 $18,072.00 $22,277.50 $20,336.40 $21,013.30 7.0 Miscellaneous Works $9,000.00 $4.715.00 $10,700.00 $4,578.32 $6.405.00 Part A Subtotal $389,550.00 · $427.817.05 $517.371.80 · $452,045.84 $509,191.08 · Part B Nort~.Parkinq Lot Ex~sion Earth Excavation & Grading $13,800.00 $13,572.00 $8,917,50 $1,800,30 $13.927.80 Removals & Relocations $1,650.00 $204.00 $461.25 $608.21 $357.50 Parkinq Lot Construction Granular Road Base $16,245.00 $15,220.00 $11,725.25 $26,339.55 $30,939.55 Hot Mix Asphalt $16,395.00 $24,045.00 $24,732.25 $19,226.90 $21,673.80 Adjustment to Existing Post $100.00 $265.00 $ 1 ~025.00 $608.22 $1.155.00 Precast Concrete Curb $1.260.00 $1,280.30 $14,350.00 $2,830.66 $1,535.10 Sodding/Seeding $1,900.00 $1.544.70 $3,116.00 $3,300.30 $1.776.50 Permanent Traffic Control Signs $1,200.00 $1,005.00 $1,025.00 $2,081.20 $1,700.00 Permanent Pavement Markings $700.00 $650.00 $5,125.00 $691.82 $440.00 Environmental Erosion Controls $3.060.00 $4,743.00 $13.068.75- $4,301,85 $.1,098.87 Part B Subtotal $56.310.00 ' $62.529.00 $83,546.00 · $61,789.01 $77.604.12 Part C Mobilization & Demobilization $5.000.00 $2,640.00 $.15.375.00 ~14.62 $8,635.00 J' ari.Q. Summary Sub-Total Parts A, B, C $450,860.00 · $492,986.05 $616,292.80 · $519,759.47 $595,430.20 * Testing Allowance: $5,000.00 $5,000.00 $5.000.00 $5.000.00 $5,000.00 G.S.T. @ 5% $22,793.00 · $24,899.30 S31.064.64 · $26,237.97 * $30,021.51 * VERIFIED TOTAL 5478.653.00 · ~22.885..3.s 5652 357.44 · $550.997.44 * S630.451.1l * " mathematical errors corrected Cosburn Giberson Consultants Inc. I 7270 Woodbine Avenue I Suite 100 I Markham I Ontario I L3R 4B9 Telephone 905-475-6988 I Fax 905-475-5930 I cosgib@rogers.com :3 Project: Owner: File No: Date: Pickering Law Bowling - Phase" - Green Construction City of Pickering 1997 June 17. 2008 TENDER EVALUATION POSSIBLE DEDUCTIONS 2.1 Water Connection $1.500.00 $610.00 $2.050.00 $2.738.42 $550.00 2.2 19mm Copper Line $1.700.00 $7.080.50 $4.105.50 $7.231.90 $7.700.15 2.3 Drinking Fountain $5,600.00 $9.400.00 $4.612.50 $8,540.10 $8,800.00 3.2 Paving New Green Sides $11.480.00 $14.104.00 $20,500.00 $23,636.50 $27.353.15 3.3 Paving under Shade $9.240.00 $11,220.00 $20.509.50 $21.537.45 $23,251.80 3.4 Paving South Green $14,000.00 $16.460.00 $20.500.00 $23,060.00 $28,042.00 4.1 Benches $20,800.00 $19.920.00 $17.424.00 $21,004.32 $15.400.00 4.2 Shade Structures $48,000.00 $12.480.00 $82,000.00 $22,137.92 $16.720.00 · 4.3 Waste Receptacles $4.400.00 $3,540.00 $3.280.00. $4.379.40 $3,018.40 4.4 Timber Retaining $14.040.00 $9,744.00 $25.830.00 . $8.875.20 $7,920.00 7.0 Miscellaneous Works $9.000.00 $4.715.00 $ 10,700.00 $4,578.32 $6.405.00 Total Deductions $139.760.00 $109,273.50 $211,511.50 $147.719.53 $145,160.50 Revised Sub-total A.B.C $311. 100.00 $383,712.55 $404,781 .30 $372.039.94 $450,269.70 . RECOMMENDED DEDUCT/ONS 3.2 Paving New Green Sides .60% $6,888.00 $8.462.40 $12,300.00 $14,181.90 $ J 6.4 11.89 3.3 Paving under Shade $9.240.00 $11,220.00 $20,509.50 $21.537.45 $23,251.80 , 3.4 Paving South Green -60% $8.400.00 $9,876.00 $12,300.00 $13.836.00 $16,825.20 4.1 Benches .50% $10.400.00 $9,960.00 $8,712.00 $10,502.16 $7.700.00 4.2 Shade Structures $48,000.00 $12,480.00 $82,000.00 $22,137.92 $16,720.00. 4.3 Waste Receptacles $4.400.00 $3,540.00 $3,280.00 $4,379.40 $3,018.40 7.0 Miscellaneous Works $9,000.00 $4,715.00 $10,700.00 $4,578.32 $6.405.00 Total Deductions $96.328.00 $60.253.40 $149,801.50 $91.153.15 $90,332.29 Revised Sub-fotal A.B,C $354,532.00 $432,732.65 $466.491.30 $428,606.32 $505.097.91 Testing Allowance: $5.000.00 $5.000.00 $5,000.00 $5.000.00 $5.000.00 REVISED VERIFIED TOTAL EX GST ~59.532.0Q · S.431..1Jti~ ~n.4~ ~ ~~:t606~ * SSJ 0.097.1l * Citlf o~ ";7ACHt1,Ei', #~ t;L"C5 L/ t,l ' ,) 8'- 'i 'I MEMO To: Thomas J. Quinn Chief Administrative Officer ,,,,. '-""w.,,_,_ July, 15 2008 . .:c:0::J:-1Ut_J " ) d' ',',::2:;,,:~~~r-7r~~ ,-'; /) .,.,', ",'L..,fOPY CIRCUl c -.1 "6" f 'I,.' '/~''''' ' "I". ',1 "","':,Yu,', J I '--ou, elL ! Division Head, Municipal Property & Engineering".,'":,',."""",:,,,,::,,,,, ",. -i--"'-::"'-_, --.,/1 J~:::~,;d(~.~~:~ lCAO MGi'.lTCOi',) Subject: Tender-9-2008L,S:i~~.~E(mS OFFICE SUSTAlr,j"" Tender for Path Extension To Bus Loop at Sunbird Trail p.a,r*'~~'~~Y7 -'lrrEi.ER~ _._...) F'I . A 1440 :":...:..:....-:.'.....:~-=-~.UHUI~]AI'J RES; Ie. - i..-,J0~Ei_~!:.~:.~LJ.i]9!.~i.~=:--"'~ , t:.::ti~C=~j~~~'~!~fl~.~~}2;If:;~~~.-'; , , I II,,' [ 1 ~ Tenders have been received which closed on Wednesday, June 25~2008'f6rth~"constrnction'of the'path extension from the Sunbird Trail Park to the bus loop on Whites Road and associated plantings. Six companies were invited to bid and advertising resulted in additional bidders. Seven I bidders submitted a tender for this project. ' ,.;1 Total Tendered After Calculation ~ ) Company Name , AI1)_ou~1-~_ Check $ ~-',{ C>rI . OJ Con International Limited $94,398.15 $94,398.15 ~ Mont orne MacEwan 96,727.48 96,727.48 Mo al Construction 98,322.00 98,322.00 Elir a Construction 108,991.47 108,991.47 Ro al Crest Pavin & Contractin 115,374,00 115,374.00 Aloia Bros Concrete Contractors 126,479.85 125,431.95 JPK Contractin 99,400.35 205,240.35 From: Everett Buntsma Director, Operations & Emergency Services Copy: Recommendation: 1. That Report Tender T-9~2008 regarding the Path Extension to Bus Loop at Sunbird Trail Park be received; 2. That Tender T-9-2008 submitted by Dig-Con International Limited for Path Extension To Bus Loop At Sunbird Trail Park at a cost of $94,398.15 (GST included) be accepted; 3. That the total gross project cost of $112,878.15 (GST included) including the tender ,amount, and other associated costs and the total net project cost of $107,503.00 be approved; 4. That Council authorize the Director, Corporate Services & Treasurer to finance the project as follows: ____",,_' '...,'",. ,,', ';t~ (a) the sum of $91,915 to be funded from the Development Charges Reserve Fund- Parkland Development & Trails;; I:) (b) the sum of $15,588 to be funded from the City's share - Development Charges (DC) Reserve; (c) the Treasurer is authorized to take any actions necessary in order to effect the foregoing; and 5. That the appropriate City of Pickering officials be authorized to take necessary action to give effect thereto. Executive Summary: As part of the 2007 Parks Capital Budget, Sunbird Trail Park Development and Whites Road Bus Loop Plantings was approved as a construction project. The Sunbird Trail park development component, including playground construction and the installation of playground equipment has been completed. The entire project was estimated to cost $200,000 with the path works and plantings estimated to cost $130,000. Upon completion of the park development component, there is approximately $121,000 available. Tender T.9-2008 for the pa ~nd plantings was issued on Friday, June 6, 20tra and. closed on Wednesday,June 25, 2008 wi~ven (7) bidders responding. <The total gross project cost is estimated to be ~. 878.15 forAln estimated net cost to the City of $1 O~.503.00 (net ofGS.Jfebate). ) . . ~._..::-.. . (~t;' <,--I- C -;:r) -r-tr. The City's purchasing policy requires staff to reporYto Coundl of! results of the tender and financing in order to proceed with this project in a timely manner. Due to Council's summer recess approval from the Chief Administrative Officer is being sought in order to proceed. Financiallniplications: 1. TENDER AMOUNT r T -9-2008 GST Sub- Total GST Rebate Total $89,903.00 $4,495.15 $94,398.15 ~495.15} $89,903.00 July 15, 2008 Tender T-9..2008 Tender for Path Extension To Bus Loop at Sunbird Trail Park Page 2 2. 6 APPROVED SOURCE OF FUNDS Parks Ca 'ital Budget Location Proiect Code Sunbird Trail 5780.0706.6129 I Park I Source cf Funds Bucqet Required I RF DC-Parkland 103,455 91,915 I Development & Trails 15,588 I R DC-City's Share 17,545 FUNDS A V AllABlE 121,000 . 107,503 3. ESTIMATED PROJECT COSTING SUMMARY T-9-2008 - Tender for Path Extension To Bus loop' At Sunbird Trail Park $89,903.00 Associated Costs Materials Testing Consultant Fees Miscellaneous Costs Construction Contingency GST 2,500.00 2,600.00 2,500.00 10,000.00 5,375.15 $'112,878.15 Total Gross Project Cost GST Rebate (5,375.15) $107,503.00 Total Net Pro'ect Cost 4. Project Cost under (over) Approved Funds $13,497.00 I The Director, Corporate Services & Treasurer has reviewed the budgetary implications and the . financing of the expenditures contained in this report and concurs. July 15, 2008 Tender T-9-2008 Tender for Patrl Extension To Bus Loop at Sunbird. Trail Park Page 3 Attachments: 1. Location l\.lap 2. Supply & Services Memorandum dated June 26, 2008 3. Health & Safety Memorandum dated July 3, 2008 " 7 .~ l f Prepared By: ~--". arrell 8. Selsky, C.E.T., C Superviso , Engineering & Everett Buntsma Director, Operations & Emergency Services Vera A. Felgemacher C.P.P., CPPO, CPPB,C.P.M., CMM III Manager, Supply & Services ~M~ k Gillis A. Paterson . '0 Director, Corporate Services & Treasurer .I ~' I cN'Richard . Holborn, P. Eng. . Division Head . Municipal Pr~perty & Engineering DS:nw Attachments _Copy: Chief Administrative Officer Recommended for the consideration of Pickering City unci ." N' July 15, 2008 Tender T-9-2008 Tender for Path Extension To Bus Loop at Sunbird Trail Park Page 5 "' .:':, ',._1 . -' '_'::'~;i_j.U-;-...L":L(2':1~~A,1/Dv,"1 Ji./.!.f 15'/~ : _L~.. (,; --L-- g MUNICIPAL PROPERTY & ENGINEERING Attachment For Tender: T-9-2008 PATH EXTENSION TO BUS LOOP SUNBIRD TRAIL PARK o <l o ~ ~ Z <l lD w (fJ o a:: ?- \00 GO~?- '?-o 0-<0 If) W l- I 5: w ~ o Z 0:: w SWAN PL. c;--- ~ AVEN UE LOCATION MAP PROPOSED CONSTRUCTION INCLUDES: The construction of a 2,Om wide asphalt pathway from Sunbird Trail Park to the bus loop on Whites Road, including the installation of box culverts, guardrails, path lighting, planting and associated earthworks, LIMPandEIDesign Support\Capital Projects & SchedulinglAttachmen/s for Tenders\2008IT-09.08 Sunbird Trail walkway. doc . ClbJ g~ :',"' \CHMENT;q: _2-_ Rt?O:~T;F-!"'L~f,-1"A" 4 ;U,Z)(/.-'Vf / .0; -..3-.- ..J:/e... Y i-'h 9 MEMO To: Richard Ho/born Division Head Municipal Property & Engineering June 26,2008 From: Vera A. Felgemacher Manager, Supply & Services Copy: Supervisor, . Engineering & Capital Works Subject: Tender No.T-9-2008 Path Extension to Bus Loop at . Sunbird Trail Park Tenders have been received for the above project.. Six companies were invited to bid. An advertisement was placed in the Daily Commercial Ne'A'S and on the City's website yielding . interest from additional bidders. Thirteen companies received a tendering package for a non- refundable fee of $50.00. Seven {7} bidders submitteda tender for this project. A copy of the Record of Tenders Opened a.nd Checked used at the public tender opening is attached. Tenders shall be irrevocable for 60 days after the official closing date and time. . . Purchasing Procedure No. PUR 010-001, Item 10.03. (r) provides checking tendered unit prices and extensions; unit prices shall govern and extc?i13i::.ns will be corrected. accordingly, which has been done. . . All deposits other than the low three bidders may be! (,';; :ned to t;,J applicable bidders as provided for by Purchasing Procedure No. PUR 01 0-00 1, Item 10.C3(w). However, all bids have been retained and copies are attached for evalu2t:cn. "...,:....,.;.',..> >', SUMMARY PST/GST INCLUD~::D T~T:9.~~~~i( r=Dl>."-FTER~~t3E~8~~~~J~~ii! . J '-':....... I "'__ __---.::-.~~~_~_~. .....,.... ,CQMPANYNAME/. Dig Con International Limited Mont orne MacEwan Mo al Construction Elir a Construction Ro alcrest Pavin & Contractin Aloia Bras Concrete Contractors JPK Contractin 96,727. 98,32?CU ----- 108,_99-' .4L_ 115 ~-'/: (I., ,'- I-~.~~~-:..._- 126,4/'~~." . 99,4(}}":: I .. ..... _.___ ...__-1. 9',/::-:/.48 9 ,32:2.00 108,991.47 115,374.00 ..___~~~4~.1.95 2"15,2/".35 0" ' Z ..~2 3 /'/1 E /l7 &.,J/e /9,;U t:J vi ,rt-1 ..:r J .... if / S / t) 8 4 1'1 J '..J Extensj~ms have been checked and Dig Con Internat: ~':;: 'Y:= 3ars to be low bidder, Advise of as soon as possible jf we are to proceed t J (~. ~u~st Health & Safety documentation of the low bidder, pursuant to Information to Bidder.3 :'? ,-,-:~,? 21 and 22, for review during the evaluation phase of this tender call. (a) a copy of the Health & Safety Policy to be used on U~::; project; (b) a copy of the current Workplace Injury Summary S'3pcrt issued by vVorkplace Safety & Insurance Board (in lieu of the Workplace Injury Summary Report document, a copy of the current CAD 7, NEER, or MAP reports may [;9 :~',,:;::',l;:ted); (c) a copy of the current Certificate of Clearance is?'_~':=; b~/ Workplace Safety & Insurance Board; (d) the City's certificate of ,insurance shall be cOlTiJI= ~(<; by the bidder's ase~t, broker or insurer; (e) Waste Management Plan, (18 - Item 22}. Include the following items in your Report to Council:- (a) if items (a) through (d) noted above, are accc;" ,.' , the Safety & Training Co- ordinator; (b) any past work experience Dig Con Internatione! i:~ ":'.,,;(1g work location; (c) without past work experience, if reference infc, r. ' :: ::; acCe;)la~;G; (d) the appropriate account number(s) to which tll:3 v,icrk i~~ to be charged; (e) the budget amount(s) assigned thereto; (f) Treasurer's confirmation of funding; (g) related departmental approvals; ,(h) a'ny reason(s) why the low bid of Dig Con Intern(l~:Jn:]1 is not acceptable; and (i) related comments specific to the project. ' vf attachment June 26, 2008 '1'-9-2008 Path Extension to Bus Loop - Sunbird Trail Page 2 ';x;, ~ '0 ", ~~- ~ ..~ s ~ ~ ~ ~ l(- ~ ~ '-t.I s,' " ~ N~ CITY OF PICKERING RECORD OF TENDERS OPENED AND CHECKED ~. . c. ITYSTAPF'..~RESENT. 'p..:. .- - C~~0.i4'U~ - p.'.-~. ->~. . ..r...0.....<A;ffi:;~-P-....- .~ / ......,;. ->-\ (.' (9-(" .... #.. /1 Gl~ ~<::f ~ () cJ;-"~"l,..,,-- Tender Description: Tender No. T -9-2008 Bidder Name Bid Deposit Mapa! Construction Limited /0 ':10 J.PK Contractino Ltd. ~i~ 000 I Aloia Bros. Concrete Contractors 1.;3':i; 000 Dig Con /OD/" -'- /0 e;" Montgomery MacEwen Contractin /0010 [::C.A R../',q.- /0% SUNBIRD RA!LPARK - PATH EXTENSION TO BUS LOOP . D~te: Wednes.ckq, June 25,,2008 Time: Approx. 2:15pm Total Amount Tendered t,/" v. iI 191 qOO. 3S- c6 /.2(0 .lj 7Q, of:: / d>q'l. 39'6-# i<;" Y'" V" a/" rz5//5", 3 7'1.00 V' v' . OTHER COMMENTS 1" I[ " _ ,,~: I .ih,:;':htJl? 4.lJ,J, ..:r d LV I j-'(/- , Oz ~ CUlJ q~ ___.l /.' MEMO Vera Felgemacher Manager Supply and Services R-E-e-E+V-E D JUL 4 2008 To: July 3" 2008 CITY OF PICKERING MUNICIPAL PROPERTY & ENGINEERING From: Michelle Montgomery ~ Coordinator, Health & Safety Subject: T-9-2008 Path Extension to Bus Loop At Sunbird Trail, Pickering biG CoN As requested I have reviewed the following documents submitted by the above prospective contractor: ' .' . Copy: . Health and Safety Regulations -a7MA yoa . ' CAD-7 Calculations Statement as 'of 15SEP07 e WSIB Clearance Certificate 05MA YOS .. Certificate of Insurance -Commercial General Liability F.xpiry OlJUL08 -Automobile Uabilily Insurance Expiry 2SfvlAR09 From a Health & Safety perspective, these documents are acceptable. If you have any questions or concerns, please contact me directly at ext.4645. t J~l ),.JYtjJmtLrU ~~merLJ. Reviewed Documentation Attachments: {}&ktv1h 1/11'MI'IJ... , Cil1J 0# ~"",..."", -- l-lb ./f ..:t C<:,. (/. LJ o' ;) l ,-,::::,,<, 7, ',,) MEMO To: From: Copy: Subject: Thomas J. Quinn Chief Administrative Officer August 14, 2008 Everett Buntsma ...,......C..'\i()), .^ Director, Operations & Emergency Services .::.'...........~.......A.A. U~ :.::5.1IID.Vtf=.....'t/ /} " ....::..:::.(--t?ffi}7i".j~ Director, Corporate Services & Treasurer.. '''66'p,/ {;mcu~~.f\ . Division Head, Culture & Recreation .' ~.:.:.:,;';;~i:'.~=:==I~j~~:'~;1'0~(~;~~~:.'::'j Division Head, Facilities Operations . Iii . .. . . ~::(':u!\\c:n.. P~{C.l f Cr-'C~ ~\!;(Jil,rrCO:.I,i.f :i M a I nte na nce Mechan IC, Fa cllJtfes ";;::t:-:;::-':,;:':,:;:;~,-:-'-"'''i-+-::;:-'.:':-c:-;:.::;:.--:~-i . ,~jk~ii~~~_.:=:t~-.:t~f:~~~~:l.~=:==~~~:; Tender No. T-11-2008,.. ;!.'j~~~tXV l.! HUIV:M.,! Hl.'~-1 . i Tender for Supply & Installation of Humidification Syste~~F.!.:~)~~~;EI:j'C:JTr;~j;.S:'...::::~-~~~:"" P. k . C" C I ; ! CUt tic HEC ; i CL;";.:'c',,';f IC enng IVIC omp ex ("T~',-:"~--'---'-"-i' ...1.;-..;.:.:.:.....::............. File: F-5400 r..t:;f~}t-~:...~:~:.:....:t..+~<~'-:~.:.:.::-:::'.;,:.. .... Tenders have been received which closed on Wednesday, July 23, 2008 for the supply and installation of a humidification system at the Pickering Civic Complex. Seven (7) companies were invited to participate, of which three (3) bidders attended a mandatory site meeting and submitted a tender for this project. SUMMARY GST included Bidders Total Tendered Amount $ After Calculation Check $ Gimco Limited 237,897.00 237,897.45 l Canadian Tech Air Systems Inc. 244,386.00 244,440.00 -- Bird Mechanical Ltd. 252,000.00 252,000.00 Recommendations: 1. That Tender Report T-11-2008 for the supply and installation of a Humidification System at the Pickering Civic Complex be received; ",__,',' ~''''''''n /4 4. The Director, Corporate Services & Treasurer has agreed that the project will be financed as provided for in the 2007 and 2008 Capital Budget: a) the sum of $80,000 to be funded from Federai Gas Tax monies previously allocated in the 2007 Capital Budget; b) the sum of $36,000 to be funded from Federal Gas Tax monies allocated in the 2008 Capital Budget; c) the sum of $85,000 to be funded from Federal Gas Tax monies allocated in the Library's 2008 Capital Budget; d) the combined total of the above 2007 and 2008 approved Budgets is $201,000. ~ 5. Subsequent to the 2008 Budget approval, City staff was successful in applying for a grant from ' the Ministry of Energy and Infrastructure to b sed" specffica!ly for this project in the amount of $46,500, thus minimizing the over-expenditu to $7069.45. lJie sum of $46,500 will be funded from the approved grant from the Ministry of En '. flG-l-nttastructure. 6. The Director, Corporate Services & Treasurer has also agreed to finance the over-expenditure of $7,069.45 from under-expenditures in the 2008 Current Budget 7. At the time of writing, the Ministry of Energy and Infrastructure has indicated their willingness to renegotiate the grant amount due to the current construction costs submitted by the lowest bidder being significantly higher than the original estimate. Any increase in grant amount as a result of this re-negotiation will be used to cover the anticipated over-expenditure and any further excess will be used to reduce the portion funded by the Federal Gas Tax Reserve Fund. 8. Staff were unaware of the grant at the time of budget and it was applied for in July 2008. The Province has approved the grant specifically for this project. As Council has approved the project and the grant can only be applied to it, the Director Corporate Services & Treasurer has agreed to the revised financing which will reduce the draw required from the Federal Gas Tax Reserve Fund. EXECUTIVE SUMMARY: As pari of the 2008 Culture & Recreation Capital Budget, the replacement of the Humidification System for the Pickering Civic Complex, including the Central Library, was approved as a construction project. This project was originally budgeted for in 2007, and then carried forward into 2008 as the scope of the total project was increased. August 14, 2008 Tender No. T-11-2008 Tender for Supply & Installation of Humidification System Pickering Civic Complex Page 2 The entire project was estimated to .-;ost $201,000 and was to be funded entirely from Federal Gas Tax due to the energy savings and environmental components. During the budgeting process, an application for grant funding was submitted to the Ministry of Energy and Infrastructure from the City's Office of Sustainability. ; 5 The total project cost with recent tenders has come in higher than estimated due to market \ conditions. However, the City has been successful in receiving a grant in the amount of $46,500 from the Ministry of Energy and Infrastructure, thus minimizing the required ever-expenditure to approximately $7,OOO.OO.~ . - - -- - Financial Implications: 1. TENDER AMOUNT I T-11-2008 GST Sub-Total GST Rebate Total $226,569.45 11,328.00 237,879.45 (11,328.00) $226,569.45 2. APPROVED SOURCE OF FUNDS Culture & Recreation Ca ital Bud et Proiect Code Source of Funds . BudQet Required 5700.0705.6181 . Federal Gas Tax $80,000.00 $80,000.00 5700.0810.6181 Federal Gas Tax 36,000.00 36,000.00 5800.0829.6181 Federal Gas Tax 85,000.00 85,000.00 MECF Grant _ ~6,500.00 l F u ~ ds A vai!~~ le____.._________~Z_Qj_!~QQ~9.~______.__.___1?!?1.~oq~Q.Q. 3. ESTIMATED PROJECT COSTING SUMMARY. r T-11-2008 ~ssociated Costs T-11-2008 Consultant Fees Tender & Misc. Costs Contingency Total Costs GST Total Gross Project Cost GST Rebate Total Net Project Cost 4. r"iJroject Cost under (over) Approved Funds L. $226,569.45 20,000.00 6,000.00 2,000.00 254,569.45 12,728.47 267,29"1.92 (12,728.4Z2 l254..?69.15 - ($7,069.45) I August 14, 2008 Tender No. T-11-2008 Tender for Supply & Installation of Humidification System Pickering Civic Complex Page 3 Prepared By: ;6 Approved/Endorsed By: ..:,/-\ ' /t:;;;;1-;{ /1 . /"<' I j /#' '---/ /' '. Everett Bl,Jn m Director, Gperations & Emergency Services -- Tony Prevedel Division Head, Facilities Operations ~ - -- .--..'.::/ ~-"~~:- - 5l ~~. ~._-_._.._----- Gillis Paterson Director, Corporate Services & Treasurer TP:mld I all)/ August 14, 2008 Tender No. T-11..2008 Tender for Supply & Installation of Humidification System. Pickering Civic Complex Page 4 i;d lAl.,.i,',-,- .,-.';;,. 1" " ~,,)..... ,. "'< .:LJ:;f-,' :~ ,'\.:1:'(.1 :-.1 ,f ....;;.....'-::{ i l.) .."....- " _.'_ __ ,:.,,_,.,' ,~,..,::,." _ .' .l;,.:. _' ADMINISTRA. lION DEPART~IEl'TT CLERK'S DIVISION 7 RE -E"- _.. " . x,.- ,. , . ;\ .~l ~r ':~.'~':: ill .- t.,J7 "; 0.' ?~ C IT yO;:: ~; ,'-, " .. .-~: oJ . r I,' ..~\ ..... ".f:~;0j MEMOR.Pu~TIUM MA.Y L 0 2002 . . CORPORATF :-cH>\,"( ''':C, . .. ...) _.' } ." I _,Jr.':-\ May 27, 2002 TO: Tom Quinn, Chief Administrative Officer Gil Paterson, Director, Corporate S~rvices & Treasurer FROM: Bruce Taylor, Clerk SUBJECT: Referrals from Council Meeting of May 21,2002 Please be advised that the Council of the City of Pickering passed Resolution #80/02, Item #4, at th, Council Meeting of May 21, 2002, as follows: 1. That Repori to Council CAO 04-02 seeking authorization by the Chief Administrative Officer to act in Council's approval capacity on behalf of Council during any recess, break or absence of City Council be received; and 2. That subject to the Council approved Purchasing Policy & Procedure, the Chief Administrative Officer be authorized to act in Council's approval capacity on bebalf of Council during any recess, break or absence of City Council on the condition that: a) such actions are in compliance v,~th the Purchasing Policy & Procedure as approved under Resolution 136/01; and b) tbe costs thereof are within the budget previously approved by Council; and c) a report respecting those approvals is subsequently submitted to Council. 3. That appropriate officials of the City of Pickering be authorized to give effect thereto- ',J , / // -// Y /l/} ,IIL/ (/' Bruce Taylor ./ . / L_---. BT:dk Copy: T.J. Quilln, Chief Administrative Officer ~lIi . 1 TT(\CH.. -'M. i:;. n"11: /:, ~. ;f'\ ~I ;o..j'-;~ j 'Il__~ nCI:'()!)T.u "C Ll4 ~ ,jC:( fHOof q!l'\ r1"__L~_" I v;(...,; g INTER-DEPARTl\tlENT~~L l\tIEMORAc~DUlVl CLERK'S DIVISION DATE: June 6, 2000 RECEIVED CITY OF PICKERING JUN 0 6 2000 TO: G. . Paterson Director, Corporate Services & Treasurer CORPORATE SERVICES FROM: Bruce Taylor City Clerk Please be advised that the Council of the City of Pickering passed Resolution 85/00, Item #1 at the Council Meeting of June 5, 2000, as follows: That Report to Council CS 12-00 regarding authority for the Director, Corporate Services & Treasurer to recommend project financing approval during recesses of Council be received, and 1. The Director, Corporate Scr'viccs & Treasurer be authorized to recommend and approve project financing to the Mayor and Chief Administrative Officer for projects contained in the annual capital budget or current budget, during recesses of City Council; and 2. That appropriate officials of the City of Pickering be authorized to give effect thereto. This resolution is sent to you for your information. ~ L--__________ Bruce Taylor, City Clerk ee. Y.I. Quinn, Chief Administrative Officer REPORT TO EXECUTIVE COMMITTEE Report Number: CS 46-08 Date: October 14, 2008 9 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Proposed Increase to Taxicab Fares File: L-2330 Recommendation: 1. That Report CS 46-08 of the Director, Corporate Services & Treasurer be received; and, 2. That the draft by-law, included as Attachment #1 to Report CS 46-08, to amend By-law #6702/06 to provide for an increase to taxicab fares effective November 1, 2008 be enacted. Executive Summary: The current taxicab tariff rates were set in November 2005. Due to increases in fuel costs, a recommendation is being made to increase the fares for hiring a taxicab. Financial Implications: This report does not contain any financial implications for the City of Pickering Sustainability Implications: implications. This report does not contain any sustainability Background: The City of Pickering Taxicab Advisory Committee has received many requests for the increase of taxicab fares due to the ongoing increases to gasoline costs. A comparison of other municipalities' fares is outlined below. It should be noted that several of the municipalities surveyed recently increased their taxicab fares, including Ajax, Whitby, and Clarington. Oshawa, Richmond Hill & Markham's are under review. Report CS 46-08 Date: October 14,2008 Subject: Proposed Increase to Taxicab Fares '1 '(I I '..' '._' Page 2 Munici ali Dro Fee Additional fare 1 km Total 5 km Total Pickerin $2.75 $1.80 er km $4.55 $11 .75 Whitb $3.50 $2.00 er km $5.50 $13.50 Richmond Hill $3.00 $1.50 er km $4.50 $10.50 Markham $3.00 $1.50 er km $4.50 $10.50 Aax $2.90 $2.00 er km $4.90 $12.90 Oshawa $2.65 $1.70 er km $4.35 $11.15 Clarin ton $2.80 $2.00 er km $4.80 $12.80 At the time of the last taxicab fare increase, gasoline prices were at $1.149 per litre. Current gas prices fluctuate from $1.20 to $1.35 per liter. This is an increase ranging from 5 - 15 per cent. At a meeting of the Taxicab Advisory Committee on July 16, 2008, proposed increases to taxicab fares were discussed. There was no consensus among committee members, as some wished to increase the drop rate to as much as $3.50 (a 27% increase), while others supported a more moderate increase in the drop rate to $3.15 (a 15% increase). All members agreed to increase the rate per kilometer from $1.80 to $2.00. The table below outlines the two fees discussed and the total fares for each. Drop Fee Additional fare 1 km Total 5km Total Present fare $2.75 $1.80 per km $4.55 $11.75 Proposal 1 $3.15 $2.00 per km $5.15 $13.15 Proposal 2 $3.50 $2.00 per km $5.50 $13.50 Municipal Law Enforcement Services staff support the first proposal, increasing the drop rate to $3.15. The proposed increase represents a 15 per cent increase in a one kilometer taxicab fare. A five kilometer trip would increase by 12 per cent. The increase would still set City of Pickering Taxicab fares higher than all other municipalities in the Region with the exception of Whitby. The increase to $2.00 per kilometer provides a 10% increase in the portion of the fare where gasoline costs will actually be reflected in the trip. A higher drop fee means all taxicab users pay more, regardless of how far the trip is. One of the comments made by members of the Taxicab Advisory Committee members was that trips are too short to make enough money. Staff believe that since the proposed increase is based on the premise of increased gasoline costs, increasing the per kilometer fee better reflects where actual gas usage is a factor in the total fare. CORP0227-07/01 Report CS 46-08 Date: October 14, 2008 Subject: Proposed Increase to Taxicab Fares Page 3 '1 1 Concerns were also raised that increasing fares too high could negatively impact customers, many of whom are on a fixed income and such an increase may actually , reduce business. Staff support the amendment outlined in Attachment #1, increasing the drop rate to $3.15, and the fee per kilometer to $2.00. Attachment #2 is provided should Council wish to adopt the alternative proposal of $3.50 per drop rate and $2.00 per kilometer. Approval of this proposed fare increase will be communicated to the public through Community Page advertisements, hand outs to passengers regarding the impending fare increase and new tariff cards. Attachments: 1. Draft By-law to Amend By-law #6702/06, Schedule 2 (Staff Recommendation) 2. Draft By-law to Amend By-law # 6702/06, Schedule 2 (Alternative) Prepared By: Approved I Endorsed By: J~~~ CI> (A"'tUC(x ( Debi A. Wilcox, CMO, CMMIII T City Clerk ~.-..) ..~. ~.. ~;..=-""'./ ~ --~~ Gillis Paterson, Director, Corporate Services & Treasurer :kt Attachments Copy: Chief Administrative Officer Recommended for the consideration 0 Pickering Ci Council "j ! ') L. THE CORPORATION OF THE CITY s TO REPORT' If~ - BY-LAW NO. XXXX/OS Being a by-law to amend By-law Number 6702/06 to confirm an Increase to Taxicab Fares WHEREAS the Council of the Corporation of the City of Pickering enacted By-law Number 6702/06 on September is, 2006 to license, regulate and govern taxicab businesses. NOW THERFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: 1. Schedule "2" to By-law Number 6702/06 is hereby deleted and Schedule "2" attached hereto is substituted therefore. By-law read a first, second and third time and finally passed this 20th day of October, 200S. David Ryan, Mayor Debi A. Wilcox, City Clerk CORP0223-07/01 T' Attachment #1 ,) BY-LAW NUMBER XXX/OS SCHEDULE "2" TARIFFS / FARES A. FARES 1. Flat Rate, initial fare $3.15 (incl. GST) 2. For each additional one-eighth of a kilometre or part thereof $0.25 (incl. GST) 3. For waiting time while under engagement, per minute $0.40 (incl. GST) B. RATES 1. For each passenger in excess of four $0.25 $0.60 2. For each trunk exceeding 0.1 cubic meters 3. For each piece of luggage not carried inside the taxicab $0.15 c. NOTES 1. Maximum total charge under B.1, 2 and 3 shall not exceed $0.60 for any trip 2. No rate is chargeable for the carriage of a wheelchair accompanying a handicapped person. " l 4 ~ <51 1- TO REPORT ft!f:.o~ THE CORPORATION OF THE CITY , BY-LAW NO, XXXX/08 Being a by-law to amend By-law Number 6702/06 to confirm an Increase to Taxicab Fares WHEREAS the Council of the Corporation of the City of Pickering enacted By-law Number 6702/06 on September 18, 2006 to license, regulate and govern taxicab businesses, NOW THERFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: 1. Schedule "2" to By-law Number 6702/06 is hereby deleted and Schedule "2" attached hereto is substituted therefore. By-law read a first, second and third time and finally passed this 20th day of October, 2008. David Ryan, Mayor Debi A. Wilcox, City Clerk CORP0223-07/01 Attachment #2 r- :) BY-LAW NUMBER XXX/08 SCHEDULE "2" TARIFFS / FARES A. FARES 1. Flat Rate, initial fare $3.50 (incl. GST) 2. For each additional one-eighth of a kilometre or part thereof $0.25 (incl. GST) 3. For waiting time while under engagement, per minute $0.40 (incl. GST) B. RATES 1. For each passenger in excess of four $0.25 $0.60 2. For each trunk exceeding 0.1 cubic meters 3. For each piece of luggage not carried inside the taxicab $0.15 c. NOTES 1. Maximum total charge under B.1, 2 and 3 shall not exceed $0.60 for any trip 2. No rate is chargeable for the carriage of a wheelchair accompanying a handicapped person. Ca.JI o~ REPORT TO EXECUTIVE COMMITTEE 6 Report Number: CS 48-08 Date: October 14, 2008 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: 2009 Standing Committee and Council Meeting Schedule File: A-1400 Recommendation: 1. That Report CS 48-08 of the Director, Corporate Services & Treasurer be received; 2. That the 2009 Standing Committee and Council Meeting Schedule included as Attachment 1 to this report be approved; and 3. That the City Clerk be given authority to give effect thereto. Executive Summary: In accordance with the Municipal Act, 2001, every municipality and local board shall pass a procedure by-law governing the calling, place and proceedings of meetings. The by-law provides for the notification of the meetings of Council. Financial Implications: There are no financial implications. Sustainability Implications: Establishing the Standing Committee and Council schedule is an integral part of the sustainable community in the areas of a healthy society and healthy community as the promotion of the dates in advance encourage public participation. Background: By-law 6746/07 provides for governing the calling, place and proceedings of meetings. In accordance with the intent of the Municipal Act, 2001, of open, transparent and accountable government, the 2009 meeting schedule is presented in order for public notification to commence. Report CS 48-08 Subject: 2009 Meeting Schedule October 14, 2008 Page 2 7 Attachments: 1. 2009 Standing Committee and Council Meeting Schedule Prepared By: Approved/Endorsed By: cYw~6~ Lisa Broad Coordinator, Records & Elections ~G::J. L;::)~~c-,.)~ Debi A. Wilcox City Clerk Approved/Endorsed By: ~j .. ..,~~._.__._._---- ~_.. ...,"/- / .' ----- ../., /~ ---->:::::::::---> Gillis A. Paterson Director, Corporate Services & Treasurer Attachment Copy: Chief Administrative Officer Recommended for the consideration of Pickering C' y Co '/ CORP0227-07/01 revised City of Pickering YEAR 2009 COUNCIL AND STANDING COMMITTEE MEETING SCHEDULE &.5 @ 12 ~ ICll 20 2 3 3 4 5 6 7 9 10 11 12 13 14 6 7 8 9 10 13 16 17 16 17 18 19 20 21 14 15 22 23 24 22 23 24 25 26 27 28 21 25 29 30 26 27 28 29 30 31 CD 2 9 16 23 21 3 4 5 10 11 12 17 18 19 2 9 16 23 3 10 17 24 13 20 7 8 15 22 15 22 14 24 25 26 27 20 28 29 30 26 27 28 29 30 31 ~7 ICll 14 20 21 Legend 8 9 15 16 22 23 o &. o ICll ~ 2 Holiday / Office Closed Planning & Development Committee Meeting Executive Committee Meeting Council Meeting Joint Planning & Development & Executive Meeting 3 4 5 10 11 12 17 18 19 27 28 29 30 31 24 25 26 4 11 18 25 30 3 10 17 24 4 11 18 25 5 12 19 26 6 13 20 27 7 14 21 28 7 2 4 Q 11 5 8 9 12 21 22 23 24 25 26 15 16 17 18 19 17 24 31 8 15 22 29 II&. 8 1@15 28 29 30 4 11 18 25 22 29 30 l31 5 12 19 26 8 9 15 16 22 23 29 30 6 13 20 27 7 14 21 28 2 6 13 20 3 4 5 9 10 11 12 16 17 18 19 23@Q26 27